MAGNACHIP SEMICONDUCTOR CORPORATION AND SUBSIDIARIES | |||||||||||||||||
CONSOLIDATED STATEMENTS OF CASH FLOWS | |||||||||||||||||
(In thousands of US dollars) | |||||||||||||||||
(Unaudited) | |||||||||||||||||
| |||||||||||||||||
| Three month Ended | Six month Ended |
| ||||||||||||||
| June 30,
|
| June 30,
|
|
| June 30,
|
| ||||||||||
Cash flows from operating activities |
|
|
|
|
|
|
|
|
|
| |||||||
Net loss | $ | (9,520) |
| $ | (43,645) |
|
| $ | (18,742) |
| |||||||
Adjustments to reconcile net loss to net cash provided by operating activities |
|
|
|
|
|
|
|
|
|
| |||||||
Depreciation and amortization |
| 8,202 |
|
| 16,505 |
|
|
| 15,970 |
| |||||||
Provision for severance benefits |
| 3,289 |
|
| 6,406 |
|
|
| 9,165 |
| |||||||
Amortization of debt issuance costs and original issue discount |
| 563 |
|
| 1,134 |
|
|
| 1,073 |
| |||||||
Loss on foreign currency, net |
| 12,889 |
|
| 24,609 |
|
|
| 32,369 |
| |||||||
Restructuring and other charges |
| 732 |
|
| 732 |
|
|
| — |
| |||||||
Stock-based compensation |
| 772 |
|
| 1,441 |
|
|
| 2,810 |
| |||||||
Loss on early extinguishment of long-term borrowings, net |
| — |
|
| 42 |
|
|
| — |
| |||||||
Other |
| (590) |
|
| (494) |
|
|
| 1,053 |
| |||||||
Changes in operating assets and liabilities |
|
|
|
|
|
|
|
|
|
| |||||||
Accounts receivable, net |
| (8,130) |
|
| (20,974) |
|
|
| 5,305 |
| |||||||
Unbilled accounts receivable, net |
| (3,525) |
|
| 6,201 |
|
|
| 887 |
| |||||||
Inventories, net |
| 12,174 |
|
| 1,589 |
|
|
| (16,797) |
| |||||||
Other receivables |
| 1,236 |
|
| (2,969) |
|
|
| (4,508) |
| |||||||
Other current assets |
| 4,093 |
|
| 5,929 |
|
|
| 2,253 |
| |||||||
Accounts payable |
| 11,263 |
|
| 32,137 |
|
|
| (4,473) |
| |||||||
Other accounts payable |
| (6,756) |
|
| (3,960) |
|
|
| (5,229) |
| |||||||
Accrued expenses |
| 5,422 |
|
| 2,880 |
|
|
| (1,435) |
| |||||||
Deferred revenue |
| (1,484) |
|
| (929) |
|
|
| 5,413 |
| |||||||
Other current liabilities |
| 286 |
|
| (6,562) |
|
|
| 760 |
| |||||||
Other non-current liabilities |
| 631 |
|
| 1,716 |
|
|
| 1,116 |
| |||||||
Payment of severance benefits |
| (2,316) |
|
| (4,579) |
|
|
| (5,754) |
| |||||||
Other |
| (401) |
|
| (54) |
|
|
| 516 |
| |||||||
Net cash provided by operating activities |
| 28,830 |
|
| 17,155 |
|
|
| 21,752 |
| |||||||
Cash flows from investing activities |
|
|
|
|
|
|
|
|
|
| |||||||
Proceeds from settlement of hedge collateral |
| 2,385 |
|
| 4,627 |
|
|
| 4,863 |
| |||||||
Payment of hedge collateral |
| (8,394) |
|
| (8,395) |
|
|
| (7,490) |
| |||||||
Proceeds from disposal of plant, property and equipment |
| 202 |
|
| 202 |
|
|
| 13 |
| |||||||
Purchase of plant, property and equipment |
| (3,793) |
|
| (15,000) |
|
|
| (11,432) |
| |||||||
Payment for property related to water treatment facility arrangement |
| — |
|
| — |
|
|
| (4,283) |
| |||||||
Payment for intellectual property registration |
| (410) |
|
| (642) |
|
|
| (574) |
| |||||||
Collection of guarantee deposits |
| 90 |
|
| 388 |
|
|
| 659 |
| |||||||
Payment of guarantee deposits |
| (438) |
|
| (1,330) |
|
|
| — |
| |||||||
Other |
| — |
|
| (9) |
|
|
| (38) |
| |||||||
Net cash used in investing activities |
| (10,358) |
|
| (20,159) |
|
|
| (18,282) |
| |||||||
Cash flows from financing activities |
|
|
|
|
|
|
|
|
|
| |||||||
Repurchase of long-term borrowings |
| — |
|
| (1,175) |
|
|
| — |
| |||||||
Proceeds from exercise of stock options |
| 101 |
|
| 149 |
|
|
| 435 |
| |||||||
Acquisition of treasury stock |
| (235) |
|
| (2,588) |
|
|
| — |
| |||||||
Proceeds from property related to water treatment facility arrangement |
| — |
|
| — |
|
|
| 4,283 |
| |||||||
Repayment of financing related to water treatment facility arrangement |
| (138) |
|
| (281) |
|
|
| — |
| |||||||
Repayment of principal portion of lease liabilities |
| (59) |
|
| (118) |
|
|
| — |
| |||||||
Net cash provided by (used in) financing activities |
| (331) |
|
| (4,013) |
|
|
| 4,718 |
| |||||||
Effect of exchange rates on cash, cash equivalents and restricted cash |
| (200) |
|
| (1,668) |
|
|
| (5,081) |
| |||||||
Net increase (decrease) in cash, cash equivalents and restricted cash |
| 17,941 |
|
| (8,685) |
|
|
| 3,107 |
| |||||||
Cash , cash equivalents and restricted cash |
|
|
|
|
|
|
|
|
|
| |||||||
Beginning of the period |
| 105,812 |
|
| 132,438 |
|
|
| 128,575 |
| |||||||
End of the period | $ | 123,753 |
| $ | 123,753 |
|
| $ | 131,682 |
|