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CONDENSED CONSOLIDATED STATEMENTS OF CASH FLOWS (USD $)
In Thousands, unless otherwise specified
9 Months Ended
Mar. 31, 2014
Mar. 31, 2013
Cash flows from operating activities:    
Net income $ 87,444 $ 102,428
Adjustments to reconcile net income to net cash provided by operating activities:    
Depreciation and amortization 93,391 66,006
Share-based compensation 10,355 9,676
Amortization of deferred debt issuance costs 3,291 1,319
Income tax (benefit) expense (1,870) 5,304
Provision for doubtful accounts 3,684 9,103
Inventory write-downs 5,295 4,108
Excess tax benefit of stock option exercises (3,917) (15,871)
Other 233 1,031
Change in operating assets and liabilities:    
Accounts and notes receivable 2,003 10,654
Inventories (27,671) (39,026)
Prepaid and refundable income tax and income tax payable (6,233) (4,117)
Other current assets and other assets (455) (2,811)
Accounts payable 3,366 (12,407)
Accrued liabilities and jackpot liabilities (6,786) (2,772)
Deferred revenue and deferred cost of revenue (12,647) 6,831
Net cash provided by operating activities 149,483 139,456
Cash flows from investing activities:    
Acquisition, net of cash acquired (1,344,137)  
Capital expenditures (15,464) (11,003)
Restricted cash and investments (2,757) 51
Financing provided to customer   (1,228)
Payments received from development financing 2,283  
Additions to other long-term assets (8,222) (905)
Net cash used in investing activities (1,368,297) (13,085)
Cash flows from financing activities:    
Proceeds from revolving credit facility 330,000 55,000
Payments on revolving credit facility (130,000) (65,000)
Proceeds from long-term debt 1,100,000  
Payments on long-term debt and capital leases (22,447) (11,305)
Capitalized debt issuance costs (33,016)  
Acquisition-related contingent consideration (459)  
Distributions to noncontrolling interests   (27)
Purchase of treasury stock (14,856) (131,705)
Excess tax benefit of stock option exercises 3,917 15,871
Proceeds from exercise of stock options and employee stock purchases 13,558 26,475
Net cash provided by (used in) financing activities 1,246,697 (110,691)
Effect of exchange rate changes on cash (619) 938
Cash and cash equivalents:    
Increase for period 27,264 16,618
Balance, beginning of period 63,220 32,673
Balance, end of period $ 90,484 $ 49,291