Analog Devices Reports Record Revenue for the Second Quarter Fiscal 2023

 

ANALOG DEVICES, INC.

RECONCILIATION OF NET CASH PROVIDED BY OPERATING ACTIVITIES TO FREE CASH FLOW

(Unaudited)

(In thousands)

 

 

Trailing Twelve Months

 

Three Months Ended

 

Apr. 29, 2023

 

Apr. 29, 2023

 

Jan. 28, 2023

 

Oct. 29, 2022

 

Jul. 30, 2022

Revenue

$

12,870,156

 

 

$

3,262,930

 

 

$

3,249,630

 

 

$

3,247,716

 

 

$

3,109,880

 

Net cash provided by operating activities

$

4,885,068

 

 

$

1,081,581

 

 

$

1,406,305

 

 

$

1,149,336

 

 

$

1,247,846

 

% of Revenue

 

38

%

 

 

33

%

 

 

43

%

 

 

35

%

 

 

40

%

Capital expenditures

$

(929,892

)

 

$

(284,338

)

 

$

(176,158

)

 

$

(304,512

)

 

$

(164,884

)

Free cash flow

$

3,955,176

 

 

$

797,243

 

 

$

1,230,147

 

 

$

844,824

 

 

$

1,082,962

 

% of Revenue

 

31

%

 

 

24

%

 

 

38

%

 

 

26

%

 

 

35

%

 

 

 

 

 

 

 

 

 

 

 

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