onsemi Second Quarter 2023 Results Exceed Expectations

SUPPLEMENTAL FINANCIAL DATA

 

Quarters Ended

 

Six Months Ended

 

June 30,

2023

 

March 31,

2023

 

July 1,

2022

 

June 30,

2023

 

July 1,

2022

Net cash provided by operating activities

$

390.8

 

 

$

408.9

 

$

420.8

 

$

799.7

 

$

899.4

Free cash flow

 

(39.8

)

 

 

87.4

 

 

 

202.7

 

 

 

47.6

 

 

 

507.5

 

Cash paid for income taxes

 

192.5

 

 

 

35.2

 

 

 

187.1

 

 

 

227.6

 

 

 

202.8

 

 

 

 

 

 

 

 

 

 

 

Depreciation and amortization

$

148.8

 

 

$

145.0

 

 

$

138.4

 

 

$

293.8

 

 

$

279.0

 

Less: Amortization of acquisition-related intangible assets

 

13.4

 

 

 

16.4

 

 

 

21.9

 

 

 

29.8

 

 

 

43.2

 

Depreciation and amortization (excl. amortization of acquisition-related intangible assets)

$

135.4

 

 

$

128.6

 

 

$

116.5

 

 

$

264.0

 

 

$

235.8

 


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