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HOLLYSYS AUTOMATION TECHNOLOGIES LTD CONSOLIDATED STATEMENTS OF CASH FLOWS (In USD thousands). | |
| | Three months ended June 30, 2020 | | | Fiscal year ended June 30, 2020 | |
| | (Unaudited) | | | (Unaudited) | |
Cash flows from operating activities: | | | | | | | | |
Net income | | $ | 1,743 | | | $ | 79,326 | |
Adjustments to reconcile net income to net cash provided by operating activities: | | | | | | | | |
Depreciation of property, plant and equipment | | | 1,382 | | | | 8,483 | |
Amortization of prepaid land leases | | | 90 | | | | 384 | |
Amortization of intangible assets | | | 75 | | | | 300 | |
Allowance for doubtful accounts | | | (621 | ) | | | 690 | |
Gains on disposal of property, plant and equipment | | | (66 | ) | | | (67 | ) |
Goodwill impairment charge | | | 35,767 | | | | 35,767 | |
Impairment loss on property, plant and equipment | | | 17 | | | | 17 | |
Share of net loss (income) of equity investees | | | 976 | | | | (3,131 | ) |
Share-based compensation expenses | | | 354 | | | | 410 | |
Deferred income tax expenses | | | (300 | ) | | | 6,413 | |
Accretion of convertible bond | | | — | | | | 57 | |
Gains on disposal of an investment of an equity investee | | | — | | | | (5,763 | ) |
Changes in operating assets and liabilities: | | | | | | | | |
Accounts receivable and retention | | | (24,699 | ) | | | 33,024 | |
Costs and estimated earnings in excess of billings | | | 28,542 | | | | 3,073 | |
Inventories | | | 1,588 | | | | (6,474 | ) |
Advances to suppliers | | | (952 | ) | | | (4,745 | ) |
Other receivables | | | (2,199 | ) | | | (3,920 | ) |
Deposits and other assets | | | 184 | | | | (19 | ) |
Due from related parties | | | 1,548 | | | | 11,988 | |
Accounts payable | | | 1,629 | | | | 15,010 | |
Deferred revenue | | | 5,501 | | | | 1,825 | |
Accruals and other payables | | | 4,649 | | | | (1,658 | ) |
Due to related parties | | | 42 | | | | (1,819 | ) |
Income tax payable | | | 1,463 | | | | 3,337 | |
Other tax payables | | | 947 | | | | 2,616 | |
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Net cash provided by operating activities | | | 57,660 | | | | 175,124 | |
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Cash flows from investing activities: | | | | | | | | |
Time deposits placed with banks | | | (186,203 | ) | | | (426,846 | ) |
Purchases of property, plant and equipment | | | (3,062 | ) | | | (8,098 | ) |
Proceeds from disposal of property, plant and equipment | | | 427 | | | | 983 | |
Maturity of time deposits | | | 65,130 | | | | 242,174 | |
Acquisition of a subsidiary, net of cash acquired | | | (100 | ) | | | (251 | ) |
Proceeds received for the disposal of an equity investment | | | — | | | | 4,458 | |
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Net cash used in investing activities | | | (123,808 | ) | | | (187,580 | ) |
Cash flows from financing activities: | | | | | | | | |
Proceeds from short-term bank loans | | | — | | | | 2,371 | |
Repayments of short-term bank loans | | | (284 | ) | | | (4,243 | ) |
Proceeds from long-term bank loans | | | 15,129 | | | | 15,423 | |
Repayments of long-term bank loans | | | (58 | ) | | | (437 | ) |
Cash injected by noncontrolling interests | | | 2,139 | | | | 2,139 | |
Payment of dividends | | | — | | | | (12,713 | ) |
Repayments of convertible bond | | | — | | | | (20,753 | ) |
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Net cash provided by (used in) financing activities | | | 16,926 | | | | (18,213 | ) |
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Effect of foreign exchange rate changes | | | 1,931 | | | | (8,621 | ) |
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Net decrease in cash, cash equivalents and restricted cash | | $ | (47,291 | ) | | $ | (39,290 | ) |
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Cash, cash equivalents and restricted cash, beginning of period | | | 366,388 | | | | 358,387 | |
Cash, cash equivalents and restricted cash, end of period | | $ | 319,097 | | | $ | 319,097 | |