2024 Q1 Form 10-K Financial Statement

#000005086324000010 Filed on January 26, 2024

View on sec.gov

Income Statement

Concept 2024 Q1 2023 Q4 2023
Revenue $12.72B $15.41B $54.23B
YoY Change 0.44% -14.0%
Cost Of Revenue $7.507B $8.359B $32.52B
YoY Change -5.04% -10.14%
Gross Profit $5.217B $7.047B $21.71B
YoY Change 7.83% -19.19%
Gross Profit Margin 41.0% 45.74% 40.04%
Selling, General & Admin $1.556B $1.617B $5.634B
YoY Change -7.28% -19.54%
% of Gross Profit 29.83% 22.95% 25.95%
Research & Development $4.382B $3.987B $16.05B
YoY Change -7.32% -8.46%
% of Gross Profit 83.99% 56.58% 73.91%
Depreciation & Amortization $2.551B $2.513B $7.847B
YoY Change -22.72% -29.48%
% of Gross Profit 48.9% 35.66% 36.14%
Operating Expenses $5.938B $5.604B $21.62B
YoY Change -16.48% -11.88%
Operating Profit -$721.0M $1.443B $93.00M
YoY Change -924.57% -96.02%
Interest Expense $270.0M $175.0M $878.0M
YoY Change 53.51% 77.02%
% of Operating Profit 12.13% 944.09%
Other Income/Expense, Net $80.00M $28.00M $629.0M
YoY Change -79.71% -46.05%
Pretax Income -$719.0M $2.788B $762.0M
YoY Change -1582.98% -90.19%
Income Tax -$282.0M $128.0M -$913.0M
% Of Pretax Income 4.59% -119.82%
Net Earnings -$381.0M $2.669B $1.689B
YoY Change 161.92% -78.92%
Net Earnings / Revenue -2.99% 17.32% 3.11%
Basic Earnings Per Share -$0.09 $0.40
Diluted Earnings Per Share -$0.09 $0.62 $0.40
COMMON SHARES
Basic Shares Outstanding 4.228B shares 4.216B shares 4.190B shares
Diluted Shares Outstanding 4.242B shares 4.212B shares

Balance Sheet

Concept 2024 Q1 2023 Q4 2023
SHORT-TERM ASSETS
Cash & Short-Term Investments $21.31B $25.03B $25.03B
YoY Change 10.97% -11.66%
Cash & Equivalents $6.923B $7.079B $7.079B
Short-Term Investments $14.39B $17.96B $17.96B
Other Short-Term Assets $6.480B $3.706B $3.647B
YoY Change -41.62% -20.27%
Inventory $11.49B $11.13B $11.13B
Prepaid Expenses
Receivables $3.323B $3.402B $3.402B
Other Receivables $0.00 $0.00 $59.00M
Total Short-Term Assets $42.61B $43.27B $43.27B
YoY Change -12.17% -14.16%
LONG-TERM ASSETS
Property, Plant & Equipment $99.92B $96.65B $97.15B
YoY Change 27.56% 19.43%
Goodwill $27.44B $27.59B
YoY Change 0.0%
Intangibles $4.675B $4.589B
YoY Change -26.79%
Long-Term Investments $6.139B $5.000M $5.829B
YoY Change -54.55% -1.4%
Other Assets $11.95B $13.65B $13.14B
YoY Change 34.67% 21.37%
Total Long-Term Assets $150.1B $148.3B $148.3B
YoY Change 18.1% 12.61%
TOTAL ASSETS
Total Short-Term Assets $42.61B $43.27B $43.27B
Total Long-Term Assets $150.1B $148.3B $148.3B
Total Assets $192.7B $191.6B $191.6B
YoY Change 9.57% 5.2%
SHORT-TERM LIABILITIES
YoY Change
Accounts Payable $8.559B $8.578B $8.578B
YoY Change 20.26% -10.6%
Accrued Expenses $13.73B $16.08B $16.08B
YoY Change -12.59% 0.87%
Deferred Revenue
YoY Change
Short-Term Debt $0.00 $0.00 $0.00
YoY Change
Long-Term Debt Due $4.581B $2.288B $2.288B
YoY Change 0.22% -47.61%
Total Short-Term Liabilities $27.21B $28.05B $28.05B
YoY Change 0.86% -12.76%
LONG-TERM LIABILITIES
Long-Term Debt $47.87B $46.98B $46.98B
YoY Change 26.15% 24.66%
Other Long-Term Liabilities $6.895B $6.576B $6.576B
YoY Change 14.17% -25.07%
Total Long-Term Liabilities $54.76B $53.55B $53.55B
YoY Change 24.54% 15.27%
TOTAL LIABILITIES
Total Short-Term Liabilities $27.21B $28.05B $28.05B
Total Long-Term Liabilities $54.76B $53.55B $53.55B
Total Liabilities $86.76B $81.61B $85.98B
YoY Change 15.24% 6.57%
SHAREHOLDERS EQUITY
Retained Earnings $68.22B $69.16B
YoY Change -2.63%
Common Stock
YoY Change
Preferred Stock
YoY Change
Treasury Stock (at cost)
YoY Change
Treasury Stock Shares
Shareholders Equity $106.0B $105.6B $105.6B
YoY Change
Total Liabilities & Shareholders Equity $192.7B $191.6B $191.6B
YoY Change 9.57% 5.2%

Cashflow Statement

Concept 2024 Q1 2023 Q4 2023
OPERATING ACTIVITIES
Net Income -$381.0M $2.669B $1.689B
YoY Change 161.92% -78.92%
Depreciation, Depletion And Amortization $2.551B $2.513B $7.847B
YoY Change -22.72% -29.48%
Cash From Operating Activities -$1.223B $4.624B $11.47B
YoY Change 348.93% -25.67%
INVESTING ACTIVITIES
Capital Expenditures $5.970B $6.696B $25.75B
YoY Change -191.74% 3.65%
Acquisitions
YoY Change
Other Investing Activities $3.407B $1.378B -$962.0M
YoY Change -49.43% -162.47%
Cash From Investing Activities -$2.563B -$5.318B -$24.04B
YoY Change 16.27% 129.46%
FINANCING ACTIVITIES
Cash Dividend Paid
YoY Change
Common Stock Issuance & Retirement, Net $0.00
YoY Change
Debt Paid & Issued, Net $423.0M
YoY Change -91.51%
Cash From Financing Activities 3.630B 152.0M $8.505B
YoY Change -95.87% 524.91%
NET CHANGE
Cash From Operating Activities -1.223B 4.624B $11.47B
Cash From Investing Activities -2.563B -5.318B -$24.04B
Cash From Financing Activities 3.630B 152.0M $8.505B
Net Change In Cash -156.0M -542.0M -$4.065B
YoY Change -489.93% -164.35%
FREE CASH FLOW
Cash From Operating Activities -$1.223B $4.624B $11.47B
Capital Expenditures $5.970B $6.696B $25.75B
Free Cash Flow -$7.193B -$2.072B -$14.28B
YoY Change -124.88% 51.73%

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<div style="margin-bottom:9pt;margin-top:9pt"><span style="color:#0068b5;font-family:'Arial',sans-serif;font-size:12pt;font-weight:400;line-height:120%">Credit Risk</span></div><div style="margin-bottom:9pt"><span style="color:#262626;font-family:'Arial',sans-serif;font-size:9pt;font-weight:400;line-height:120%">Financial instruments that potentially subject us to concentrations of credit risk consist principally of investments in debt instruments, derivative financial instruments, reverse repurchase agreements, and trade and other receivables. We generally place investments with high-credit-quality counterparties and, by policy, we limit the amount of credit exposure to any one counterparty based on our analysis of that counterparty's relative credit standing. As required per our investment policy, substantially all of our investments in debt instruments are in investment-grade instruments. Credit-rating criteria for derivative instruments are similar to those for other investments. </span></div><div style="margin-bottom:9pt"><span style="color:#262626;font-family:'Arial',sans-serif;font-size:9pt;font-weight:400;line-height:120%">We enter into master netting arrangements to mitigate credit risk in derivative transactions by permitting net settlement of transactions with the same counterparty. Due to master netting arrangements, the amounts subject to credit risk related to derivative instruments are generally limited to the amounts, if any, by which the counterparty's obligations exceed our obligations with that counterparty. As of December 30, 2023, our total credit exposure to any single counterparty, excluding money market funds invested in US treasury and US agency securities and reverse repurchase agreements collateralized by treasury and agency securities, did not exceed $1.6 billion. To further reduce credit risk, we enter into collateral security arrangements with certain of our derivative counterparties and obtain and secure collateral from counterparties against obligations, including securities lending transactions when we deem it appropriate. Cash collateral exchanged under our collateral security arrangements is included in </span><span style="color:#262626;font-family:'Arial',sans-serif;font-size:9pt;font-style:italic;font-weight:400;line-height:120%">other current assets</span><span style="color:#262626;font-family:'Arial',sans-serif;font-size:9pt;font-weight:400;line-height:120%">, </span><span style="color:#262626;font-family:'Arial',sans-serif;font-size:9pt;font-style:italic;font-weight:400;line-height:120%">other long-term assets</span><span style="color:#262626;font-family:'Arial',sans-serif;font-size:9pt;font-weight:400;line-height:120%">, </span><span style="color:#262626;font-family:'Arial',sans-serif;font-size:9pt;font-style:italic;font-weight:400;line-height:120%">other accrued liabilities</span><span style="color:#262626;font-family:'Arial',sans-serif;font-size:9pt;font-weight:400;line-height:120%">, or </span><span style="color:#262626;font-family:'Arial',sans-serif;font-size:9pt;font-style:italic;font-weight:400;line-height:120%">other long-term liabilities</span><span style="color:#262626;font-family:'Arial',sans-serif;font-size:9pt;font-weight:400;line-height:120%">. For reverse repurchase agreements collateralized by other securities, we do not record the collateral as an asset or a liability unless the collateral is repledged.</span></div><div style="margin-bottom:9pt"><span style="color:#262626;font-family:'Arial',sans-serif;font-size:9pt;font-weight:400;line-height:120%">A substantial majority</span><span style="color:#262626;font-family:'Arial',sans-serif;font-size:9pt;font-weight:700;line-height:120%"> </span><span style="color:#262626;font-family:'Arial',sans-serif;font-size:9pt;font-weight:400;line-height:120%">of our trade receivables are derived from sales to OEMs and ODMs. We also have accounts receivable derived from sales to industrial and communications equipment manufacturers in the computing and communications industries. We believe the net accounts receivable balances from our three largest customers (50% as of December 30, 2023) do not represent a significant credit risk, based on cash flow forecasts, balance sheet analysis, and past collection experience. </span></div><div style="margin-bottom:9pt"><span style="color:#262626;font-family:'Arial',sans-serif;font-size:9pt;font-weight:400;line-height:120%">We have adopted credit policies and standards intended to accommodate industry growth and inherent risk. We believe credit risks are moderated by the financial stability of our major customers. We assess credit risk through quantitative and qualitative analysis. From this analysis, we establish shipping and credit limits and determine whether we will seek to use one or more credit support protection devices, such as obtaining a parent guarantee, standby letter of credit, or credit insurance.<br/></span></div>
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CY2023Q4 intc Lease Liability
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Files In Submission

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