** FINANCIAL TABLES ATTACHED** DREAMWORKS ANIMATION SKG, INC. CONSOLIDATED BALANCE SHEETS June 30, December 31, 2008 2007 (unaudited) (in thousands, except par value and share amounts) Assets Cash and cash equivalents $401,617 $292,489 Trade accounts receivable, net of allowance for doubtful accounts 14,172 3,470 Receivable from Paramount, net of reserve for returns and allowance for doubtful accounts 84,266 272,647 Film costs, net 581,631 541,917 Prepaid expenses and other assets 33,049 47,609 Property, plant, and equipment, net of accumulated depreciation and amortization 96,070 86,772 Deferred taxes, net 50,039 48,664 Goodwill 34,216 34,216 Total assets $1,295,060 $1,327,784 Liabilities and Stockholders' Equity Liabilities: Accounts payable $8,959 $3,169 Accrued liabilities 87,315 108,457 Payable to stockholder 48,166 68,371 Income taxes payable 20,131 31,651 Deferred revenue and other advances 52,391 24,561 Borrowings and other debt 70,059 70,059 Total liabilities 287,021 306,268 Commitments and contingencies Minority interest 2,941 2,941 Stockholders' equity: Class A common stock, par value $.01 per share, 350,000,000 shares authorized, 94,696,219 and 93,547,321 shares issued, as of June 30, 2008 and December 31, 2007, respectively 947 935 Class B common stock, par value $.01 per share, 150,000,000 shares authorized, 11,884,461 and 12,984,461 shares issued and outstanding, as of June 30, 2008 and December 31, 2007, respectively 119 130 Additional paid-in capital 852,707 831,115 Retained earnings 556,355 502,763 Less: Class A Treasury common stock, at cost, 14,127,398 and 10,445,278 shares, as of June 30, 2008 and December 31, 2007, respectively (405,030) (316,368) Total stockholders' equity 1,005,098 1,018,575 Total liabilities and stockholders' equity $1,295,060 $1,327,784 DREAMWORKS ANIMATION SKG, INC. CONSOLIDATED STATEMENTS OF INCOME (Unaudited) Three Months Ended Six Months Ended June 30, June 30, 2008 2007 2008 2007 (in thousands, except per share amounts) Revenues $140,787 $222,471 $297,354 $316,199 Costs of revenues 75,168 110,645 170,918 164,124 Gross profit 65,619 111,826 126,436 152,075 Selling, general and administrative expenses 27,630 27,466 54,488 53,236 Operating income 37,989 84,360 71,948 98,839 Interest income, net 2,474 6,382 5,457 12,653 Other income, net 1,080 1,439 1,857 2,883 Increase in income tax benefit payable to stockholder (8,010) (23,909) (17,440) (29,726) Income before income taxes 33,533 68,272 61,822 84,649 Provision for income taxes 6,040 6,494 8,230 7,471 Net income $27,493 $61,778 $53,592 $77,178 Basic net income per share $0.30 $0.61 $0.59 $0.75 Diluted net income per share $0.30 $0.60 $0.58 $0.75 Shares used in computing net income per share Basic 90,370 102,052 91,366 102,716 Diluted 90,788 102,466 91,615 103,105 DREAMWORKS ANIMATION SKG, INC. CONSOLIDATED STATEMENTS OF CASH FLOWS (Unaudited) Six Months Ended June 30, 2008 2007 (in thousands) Operating activities Net income $53,592 $77,178 Adjustments to reconcile net income to net cash provided by operating activities: Amortization and write off of film costs 158,931 154,908 Stock compensation expense 18,277 19,150 Depreciation and amortization 4,971 4,691 Revenue earned against deferred revenue and other advances (42,084) (47,690) Deferred taxes, net (1,375) (12,383) Change in operating assets and liabilities: Trade accounts receivable (10,702) (2,061) Receivable from Paramount 188,381 (25,390) Film costs (196,643) (208,330) Prepaid expenses and other assets 15,239 (39,352) Accounts payable and accrued liabilities (15,428) 33,077 Payable to stockholder (20,205) 7,802 Income taxes payable, net (11,538) 18,872 Deferred revenue and other advances 75,553 41,394 Net cash provided by operating activities 216,969 21,866 Investing activities Purchases of property, plant and equipment (18,765) (1,370) Net cash used in investing activities (18,765) (1,370) Financing Activities Purchase of treasury stock (88,662) (44,050) Other (414) 830 Net cash used in financing activities (89,076) (43,220) Increase in cash and cash equivalents 109,128 (22,724) Cash and cash equivalents at beginning of period 292,489 506,304 Cash and cash equivalents at end of period $401,617 $483,580 Supplemental disclosure of cash flow information: Cash paid during the period for income taxes, net $21,076 $724 Cash paid during the period for interest, net of amounts capitalized $567 $85
Web site: http://www.dreamworksanimation.com/
« Previous Page 1 | 2