(Attachment A - continued)
Net operating cash flow is defined as net cash from operating activities minus net cash used in investing activities, excluding payment for purchases of and proceeds from the sale of marketable securities (both current and non-current), short-term deposits and restricted cash. We believe net operating cash flow provides useful information for investors and management because it measures our capacity to generate cash from our operating and investing activities to sustain our operating activities. Net operating cash flow is not a U.S. GAAP measure and does not represent total cash flow since it does not include the cash flows generated by or used in financing activities. In addition, our definition of net operating cash flow may differ from definitions used by other companies. First quarter 2009 cash flow data are not provided below, following a delayed calendar for the final closing of the cash flow statement due to the purchase accounting of acquisitions.
Net Operating Cash Flow (US$ and in millions) Q4 2008 Q1 2008 Net cash from operating activities 390 502 Net cash used in investing activities -172 -453 Proceeds from sale of marketable securities -64 0 Net operating cash flow 154 49 Net operating cash flow (ex M&A) 161 219
Net financial position: resources (debt), represents the balance between our total financial resources and our total financial debt. Our total financial resources include cash and cash equivalents, current and non-current marketable securities, short-term deposits and restricted cash, and our total financial debt include bank overdrafts, the current portion of long-term debt and long-term debt, all as represented in our consolidated balance sheet. We believe our net financial position provides useful information for investors because it gives evidence of our global position either in terms of net indebtedness or net cash by measuring our capital resources based on cash, cash equivalents and marketable securities and the total level of our financial indebtedness. Net financial position is not a U.S. GAAP measure.
Net Financial Position Q1 2009 Q4 2008 Q1 2008 (US$ and in millions) Cash and cash equivalents 1,480 1,009 2,060 Marketable securities, current 988 651 1,060 Restricted cash 250 250 250 Marketable securities, non-current 184 242 339 Total cash position 2,902 2,152 3,709 Bank overdrafts -3 -20 0 Current portion of long-term debt -159 -123 -300 Long-term debt -2,486 -2,554 -2,324 Total financial debt -2,648 -2,697 -2,624 ------ ------ ------ Net financial position 254 -545 1,085 STMicroelectronics N.V. Consolidated Statements of Income (in million of U.S. dollars, except per share data ($)) Three Months Ended ------------------ (Unaudited) (Unaudited) ----------- ----------- March 28, March 30, 2009 2008 ---- ---- Net sales 1,657 2,461 Other revenues 3 17 - -- NET REVENUES 1,660 2,478 Cost of sales -1,223 -1,579 ------ ------ GROSS PROFIT 437 899 Selling, general and administrative -280 -304 Research and development -557 -509 Other income and expenses, net 63 9 Impairment, restructuring charges and other related closure costs -56 -183 --- ---- Total Operating Expenses -830 -987 ---- ---- OPERATING LOSS -393 -88 Other-than-temporary impairment charge on financial assets -58 -29 Interest income, net 1 20 Earnings (loss) on equity investments -232 0 Loss on sale of financial assets -8 0 -- - LOSS BEFORE INCOME TAXES -690 -97 AND NONCONTROLLING INTEREST Income tax benefit 95 14 -- -- LOSS BEFORE NONCONTROLLING INTEREST -595 -83 Net loss (income) attributable to noncontrolling interest 54 -1 -- -- NET LOSS ATTRIBUTABLE TO PARENT COMPANY -541 -84 ==== === LOSS PER SHARE (BASIC) ATTRIBUTABLE TO PARENT COMPANY SHAREHOLDERS -0.62 -0.09 LOSS PER SHARE (DILUTED) ATTRIBUTABLE TO PARENT COMPANY SHAREHOLDERS -0.62 -0.09 NUMBER OF WEIGHTED AVERAGE SHARES USED IN CALCULATING 874.3 899.8 DILUTED LOSS PER SHARE STMicroelectronics N.V. CONSOLIDATED BALANCE SHEETS As at March 28, December 31, March 30, In million of U.S. dollars 2009 2008 2008 (Unaudited) (Audited) (Unaudited) ----------- --------- ----------- ASSETS ====== Current assets: Cash and cash equivalents 1,480 1,009 2,060 Marketable securities 988 651 1,060 Trade accounts receivable, net 1,101 1,064 1,546 Inventories, net 1,656 1,840 1,539 Deferred tax assets 248 252 230 Receivables for transactions performed on behalf, net 11 0 0 Other receivables and assets 885 685 626 --- --- --- Total current assets 6,369 5,501 7,061 Goodwill 1,138 958 314 Other intangible assets, net 894 863 317 Property, plant and equipment, net 4,341 4,739 5,391 Long-term deferred tax assets 319 373 270 Equity investments 380 510 1,035 Restricted cash 250 250 250 Non-current marketable securities 184 242 339 Other investments and other non- current assets 333 477 357 --- --- --- 7,839 8,412 8,273 Total assets 14,208 13,913 15,334 ------ ------ ------ LIABILITIES AND SHAREHOLDERS' EQUITY ==================================== Current liabilities: Bank overdrafts 3 20 0 Current portion of long-term debt 159 123 300 Trade accounts payable 707 847 1,114 Other payables and accrued liabilities 1,054 996 912 Dividends payable to shareholders 0 79 0 Deferred tax liabilities 30 28 13 Accrued income tax 121 125 139 --- --- --- Total current liabilities 2,074 2,218 2,478 Long-term debt 2,486 2,554 2,324 Reserve for pension and termination indemnities 313 332 302 Long-term deferred tax liabilities 26 27 32 Other non-current liabilities 355 350 306 --- --- --- 3,180 3,263 2,964 Total liabilities 5,254 5,481 5,442 Commitment and contingencies Equity Parent company shareholders' equity Common stock (preferred stock: 540,000,000 shares authorized, not issued; 1,156 1,156 1,156 common stock: Euro 1.04 nominal value, 1,200,000,000 shares authorized, 910,307,305 shares issued, 874,327,774 shares outstanding) Capital surplus 2,455 2,324 2,131 Accumulated result 3,521 4,064 5,190 Accumulated other comprehensive income 915 1,094 1,635 Treasury stock -480 -482 -274 ---- ---- ---- Total parent company shareholders' equity 7,567 8,156 9,838 Non-controlling interest 1,387 276 54 ----- --- -- Total equity 8,954 8,432 9,892 ----- ----- ----- Total liabilities and equity 14,208 13,913 15,334 ------ ------ ------
Web site: http://www.st.com/