GlobalFoundries Results Presentation Deck slide image

GlobalFoundries Results Presentation Deck

Quarterly Cash Flow ($ in millions) (in millions USD) Cash Flows from Operating Activities: Net income (loss) Depreciation and amortization Finance expense, net Deferred income taxes Other non-cash operating activities Change in net working capital Net cash provided by operating activities Cash Flows from Investing Activities: Purchases of property, plant, equipment, and intangible assets Other investing activities Net cash used in investing activities Cash Flows from Financing Activities: Repayments of shareholder loan Repayment of debt, net Other financing activities Net cash used in financing activities Effect of exchange rate changes Net decrease in cash and cash equivalents Cash and cash equivalents at the beginning of the period Cash and cash equivalents at the end of the period Note: 1. Any discrepancies in totals or in percentages are due to rounding. Three Months Ended September 30, 2020 September 30, 2021 GlobalFoundries © 2021 All Rights Reserved ($293) 612 34 (53) (58) 25 $267 ($123) ($123) $0 (315) 28 (287) 3 (140) 1,269 $1,129 $5 415 27 20 2 640 $1,109 ($392) 30 ($362) ($442) (87) 4 (525) (8) 214 805 $1,019 GlobalFoundries™ 17
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