Applied Materials Announces Fourth Quarter and Fiscal Year 2024 Results

UNAUDITED CONSOLIDATED CONDENSED STATEMENTS OF CASH FLOWS

(In millions)

Three Months Ended Twelve Months Ended
October 27,
2024
 October 29,
2023
October 27,
2024
 October 29,
2023
Cash flows from operating activities:       
Net income$1,731  $2,004  $7,177  $6,856 
Adjustments required to reconcile net income to cash provided by operating activities:       
Depreciation and amortization 110   130   392   515 
Share-based compensation 141   115   577   490 
Deferred income taxes (248)  198   (633)  24 
Other 246    (149 )     47       40  
Net change in operating assets and liabilities   595       (743 )     1,117       775  
Cash provided by operating activities   2,575       1,555       8,677       8,700  
Cash flows from investing activities:              
Capital expenditures   (407 )     (309 )     (1,190 )     (1,106 )
Cash paid for acquisitions, net of cash acquired                     (25 )
Proceeds from sales and maturities of investments   956       297       2,451       1,268  
Purchases of investments   (1,620 )     (477 )     (3,588 )     (1,672 )
Cash used in investing activities   (1,071 )     (489 )     (2,327 )     (1,535 )
Cash flows from financing activities:              
Debt borrowings, net of issuance costs               694        
Proceeds from issuance of commercial paper   101       99       401       991  
Repayments of commercial paper   (100 )     (200 )     (400 )     (900 )
Proceeds from common stock issuances   124       116       243       227  
Common stock repurchases   (1,442 )     (700 )     (3,823 )     (2,189 )
Tax withholding payments for vested equity awards   (33 )     (14 )     (291 )     (179 )
Payments of dividends to stockholders   (329 )     (268 )     (1,192 )     (975 )
Repayments of principal on finance leases   (90 )     1       (102 )     (7 )
Cash used in financing activities   (1,769 )     (966 )     (4,470 )     (3,032 )
Increase (decrease) in cash, cash equivalents and restricted cash equivalents   (265 )     100       1,880       4,133  
Cash, cash equivalents and restricted cash equivalents — beginning of period   8,378       6,133       6,233       2,100  
Cash, cash equivalents and restricted cash equivalents — end of period $ 8,113     $ 6,233     $ 8,113     $ 6,233  
               
Reconciliation of cash, cash equivalents, and restricted cash equivalents              
Cash and cash equivalents $ 8,022     $ 6,132     $ 8,022     $ 6,132  
Restricted cash equivalents included in deferred income taxes and other assets   91       101       91       101  
Total cash, cash equivalents, and restricted cash equivalents $ 8,113     $ 6,233     $ 8,113     $ 6,233  
               
Supplemental cash flow information:              
Cash payments for income taxes $ 138     $ 588     $ 957     $ 1,006  
Cash refunds from income taxes $ 8     $ 2     $ 15     $ 53  
Cash payments for interest $ 68     $ 68     $ 205     $ 205  
                               

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