Analog Devices Reports Third Quarter 2016 Results

(1) The sum of the individual per share amounts may not equal the total due to rounding

 

Schedule F

SUPPLEMENTAL CASH FLOW MEASURES (Unaudited)

(In thousands)

     
Three Months Ended
3Q 16     2Q 16     3Q 15
July 30,
2016
    April 30,
2016
    Aug 1,
2015
Net cash provided by operating activities $ 254,003 $ 320,203 $ 197,139
Capital expenditures (37,528 )     (25,517 )     (35,164 )
Free cash flow $ 216,475       $ 294,686       $ 161,975  
 
% of revenue 24.9 % 37.8 % 18.8 %
 

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