-----BEGIN PRIVACY-ENHANCED MESSAGE----- Proc-Type: 2001,MIC-CLEAR Originator-Name: webmaster@www.sec.gov Originator-Key-Asymmetric: MFgwCgYEVQgBAQICAf8DSgAwRwJAW2sNKK9AVtBzYZmr6aGjlWyK3XmZv3dTINen TWSM7vrzLADbmYQaionwg5sDW3P6oaM5D3tdezXMm7z1T+B+twIDAQAB MIC-Info: RSA-MD5,RSA, JVh52n8or91MboTQeoS4AdG+ouRAR9MYQW0kgtQTs+7zSwS11LvW2c62kxb8kb3S QryXCltWRpDo/wyqABXUcg== 0001193125-06-011669.txt : 20060125 0001193125-06-011669.hdr.sgml : 20060125 20060125145709 ACCESSION NUMBER: 0001193125-06-011669 CONFORMED SUBMISSION TYPE: SC TO-C PUBLIC DOCUMENT COUNT: 4 FILED AS OF DATE: 20060125 DATE AS OF CHANGE: 20060125 SUBJECT COMPANY: COMPANY DATA: COMPANY CONFORMED NAME: MAXIM INTEGRATED PRODUCTS INC CENTRAL INDEX KEY: 0000743316 STANDARD INDUSTRIAL CLASSIFICATION: SEMICONDUCTORS & RELATED DEVICES [3674] IRS NUMBER: 942896096 STATE OF INCORPORATION: DE FISCAL YEAR END: 0822 FILING VALUES: FORM TYPE: SC TO-C SEC ACT: 1934 Act SEC FILE NUMBER: 005-40077 FILM NUMBER: 06549360 BUSINESS ADDRESS: STREET 1: 120 SAN GABRIEL DR CITY: SUNNYVALE STATE: CA ZIP: 94086 BUSINESS PHONE: 4087377600 MAIL ADDRESS: STREET 1: 120 SAN GABRIEL DR CITY: SUNNYVALE STATE: CA ZIP: 94086 FILED BY: COMPANY DATA: COMPANY CONFORMED NAME: MAXIM INTEGRATED PRODUCTS INC CENTRAL INDEX KEY: 0000743316 STANDARD INDUSTRIAL CLASSIFICATION: SEMICONDUCTORS & RELATED DEVICES [3674] IRS NUMBER: 942896096 STATE OF INCORPORATION: DE FISCAL YEAR END: 0822 FILING VALUES: FORM TYPE: SC TO-C BUSINESS ADDRESS: STREET 1: 120 SAN GABRIEL DR CITY: SUNNYVALE STATE: CA ZIP: 94086 BUSINESS PHONE: 4087377600 MAIL ADDRESS: STREET 1: 120 SAN GABRIEL DR CITY: SUNNYVALE STATE: CA ZIP: 94086 SC TO-C 1 d8k.htm FORM 8-K Form 8-K

UNITED STATES

SECURITIES AND EXCHANGE COMMISSION

WASHINGTON, D.C. 20549

 


 

FORM 8-K

 


 

CURRENT REPORT

Pursuant to Section 13 or 15(d) of the

Securities Exchange Act of 1934

 

Date of Report: January 25, 2006

(Date of Earliest Event Reported)

 


 

MAXIM INTEGRATED PRODUCTS, INC.

(Exact Name of Registrant as Specified in Its Charter)

 


 

DELAWARE   0-16538   94-2896096

(State or Other Jurisdiction

of Incorporation)

  (Commission File Number)  

(IRS Employer

Identification No.)

 

120 SAN GABRIEL DRIVE

SUNNYVALE, CALIFORNIA

  94086
(Address of Principal Executive Offices)   (Zip Code)

 

(408) 737-7600

(Registrant’s Telephone Number, Including Area Code)

 


 

Check the appropriate box below if the Form 8-K filing is intended to simultaneously satisfy the filing obligation of the registrant under any of the following provisions (see General Instruction A.2. below):

 

¨ Written communications pursuant to Rule 425 under the Securities Act (17 CFR 230.425)

 

¨ Soliciting material pursuant to Rule 14a-12 under the Exchange Act (17 CFR 240.14a-12)

 

¨ Pre-commencement communications pursuant to Rule 14d-2(b) under the Exchange Act (17 CFR 240.14d-2(b))

 

x Pre-commencement communications pursuant to Rule 13e-4(c) under the Exchange Act (17 CFR 240.13e-4(c))

 



Item 2.02 Results of Operations and Financial Condition.

 

On January 25, 2006, Maxim Integrated Products, Inc. (the “Company”) announced via press release the Company’s preliminary results for its second quarter of fiscal year 2006 ended December 24, 2005. A copy of the Company’s press release is attached hereto as Exhibit 99.1.

 

The information in this Current Report and attached Exhibit 99.1 are furnished to, but not filed with, the Securities and Exchange Commission for purposes of Section 18 of the Securities Exchange Act of 1934, as amended, or otherwise subject to the liability of that section, and such information shall not be deemed to be incorporated by reference into any of the Company’s filings with the Securities and Exchange Commission, except as shall be expressly set forth by specific reference in any such filing.

 

Item 8.01 Other Events.

 

On January 25, 2006, the Company issued a press release announcing, among other things, that it expects to implement a program that will allow its employees, excluding officers, holding vested stock options with an exercise price of at least $35 to exchange them for Restricted Stock Units (RSUs) vesting quarterly over the next 12 months at a specified exchange rate derived using the Black-Scholes model. In some cases, employees may elect to exchange these vested options for RSUs at a specified exchange rate that is greater than that derived using the Black-Sholes model and these RSUs will vest quarterly over the next 18 months. A copy of the press release is attached as Exhibit 99.1.

 

Item 9.01 Financial Statements and Exhibits.

 

(d) Exhibits.

 

The exhibit listed below is being furnished with this Form 8-K.

 

Exhibit No.

 

Description


99.1   Press release dated January 25, 2006 announcing the Company’s financial results for the second quarter of its fiscal year 2006.


SIGNATURES

 

Pursuant to the requirements of the Securities Exchange Act of 1934, the Registrant has duly caused this report to be signed on its behalf by the undersigned thereunto duly authorized.

 

MAXIM INTEGRATED PRODUCTS, INC.

By:

 

/s/ Carl W. Jasper


    Carl W. Jasper
    Vice President and Chief Financial Officer

 

Date: January 25, 2006

EX-99.1 2 dex991.htm PRESS RELEASE Press Release

Exhibit 99.1

 

Press Information

 

FOR IMMEDIATE RELEASE

 

NASDAQ SYMBOL MXIM

 

Contact:

  John F. Gifford, Chairman,
    President and Chief Executive Officer
    (408) 737-7600

 

MAXIM REPORTS RECORD REVENUES FOR ITS

 

SECOND QUARTER 2006 AND 10% QUARTER OVER

 

QUARTER BOOKINGS GROWTH

 

SUNNYVALE, CA–January 25, 2006–Maxim Integrated Products, Inc., (MXIM) reported a record for net revenues of $445.9 million for its second quarter ending December 24, 2005, a 5.1% increase over the $424.4 million reported for the first quarter of fiscal 2006. Pro forma net income excluding stock based compensation expense for the quarter was $140.0 million or $0.42 diluted earnings per share and GAAP net income was $112.6 million including stock based compensation or $0.33 diluted earnings per share. This compares to $133.2 million of pro forma net income or $0.39 diluted earnings per share reported for the first quarter of fiscal 2006 and GAAP net income of $105.4 million including stock based compensation or $0.31 per diluted share.

 

Gross bookings for its second quarter were approximately $506 million, a 10% increase from the first quarter’s level of $459 million. Gross turns orders received in the quarter were approximately $230 million, a 10% increase from the $208 million received in the prior quarter. Bookings increased in all geographic locations. Second quarter ending backlog shippable within the next 12 months was approximately $370 million, including approximately $329 million requested for shipment in the third quarter of fiscal 2006. The Company’s first quarter ending backlog shippable within the next 12 months was approximately $330 million, including approximately $296 million that was requested for shipment in the second quarter of fiscal 2006.

 

– more –


Pro forma gross margin (excluding stock based compensation expense) for the second quarter was 70.2% and GAAP gross margin was 68.2% including stock based compensation of $9.2 million. Pro forma operating margin (excluding stock based compensation expense) for the second quarter was 44.1%.

 

Pro forma research and development expense (excluding stock based compensation expense) was $92.6 million or 20.8% of net revenues in the second quarter and GAAP research and development expense was $116.9 million or 26.2% of net revenue including stock based compensation of $24.3 million. Pro forma selling, general and administrative expense (excluding stock based compensation expense) was $23.8 million in the second quarter or 5.3% of net revenues while GAAP selling, general and administrative expense was $31.1 million or 7.0% of net revenue including stock based compensation of $7.2 million.

 

During the quarter, the Company repurchased 9.2 million shares of its common stock for $334.6 million, paid dividends of $40.0 million, and acquired $37.4 million in capital equipment. Accounts receivable increased $8.1 million in the second quarter to $221.0 million due to the increase in net revenues. Pro forma inventories (excluding stock based compensation expense) increased to $186.5 million from the previous quarter. GAAP reported inventories for the second quarter increased to $197.8 million and includes $11.3 million for stock based compensation.

 

The Company expects to implement a program that will allow its employees, excluding officers, holding vested stock options with an exercise price of at least $35 to exchange them for Restricted Stock Units (RSUs) vesting quarterly over the next 12 months at a specified exchange rate derived using the Black-Scholes model. In some cases, employees may elect to exchange these vested options for

 

– more –


RSUs at a specified exchange rate that is greater than that derived using the Black-Scholes model and these RSUs will vest quarterly over the next 18 months. This program, details of which will soon be filed with the Securities and Exchange Commission (SEC) and communicated to those eligible to make an exchange, is designed to foster retention of our employees and to better align their interests with those of our stockholders. This exchange program may reduce the number of Maxim’s outstanding employee stock options and provide ownership of Maxim stock to employees making the exchange election. A total of approximately 20 million vested options are covered by the exchange program and, if all options are tendered, approximately 4 million RSU’s would be issued. Maxim continues to believe that equity-based forms of compensation are most effective in motivating employees and aligning their goals with shareholders’ interests.

 

Employees holding stock options eligible for exchange in the program should carefully read the Company’s Offer to Exchange certain stock options for RSU’s, the Company’s letter of transmittal and related tender offer materials when they become available because they will contain important information, including, among other things, the various terms and conditions governing the program. Copies of the Company’s Offer to Exchange certain stock options for RSU’s, the letter of transmittal and related tender offer materials will soon be mailed to all employees holding stock options eligible for exchange in the program and, once filed with the SEC, may be obtained at no charge from the SEC’s web site at www.sec.gov.

 

Mr. Gifford commented: “Our second quarter performance is a positive reflection of our long term strategy which is to serve and gain market share in many analog industry market segments. We believe the future prospects for the analog industry are exciting and that we are well positioned for profitable growth.”

 

– more –


Mr. Gifford concluded: “The Company’s Board of Directors has declared a cash dividend for the third quarter of fiscal 2006 of $0.125 per share. Payment will be made on February 28, 2006 to stockholders of record on February 13, 2006.”

 

The following table reconciles free cash flow to net income, and depicts the Company’s free cash flow for the three and six months ended December 24, 2005 and December 25, 2004.

 

RECONCILIATION OF FREE CASH FLOW TO NET INCOME

 

in millions, except per share data


  

For the three

months

ended
12/24/05


    For the three
months
ended
12/25/04


    For the six
months
ended
12/24/05


    For the six
months
ended
12/25/04


 

Net income as reported

   $ 112.6     $ 144.6     $ 218.0     $ 289.2  

Add adjustments to reconcile net income to net cash provided by operating activities:

                                

Stock based compensation

     40.8       —         82.3       —    

Depreciation and amortization

     20.5       19.1       41.1       37.8  

Tax benefit related to stock plans

     2.7       34.1       8.3       57.9  

Accounts receivable

     (8.1 )     20.8       (28.7 )     17.5  

Inventories

     (11.0 )     (10.8 )     (18.7 )     (28.8 )

Accounts payable

     12.3       (28.2 )     20.8       (32.1 )

Income taxes payable

     0.1       (21.4 )     19.6       4.0  

Other assets and liabilities

     (33.2 )     (5.1 )     (29.8 )     15.9  
    


 


 


 


Total of adjustments

     24.1       8.5       94.9       72.2  
    


 


 


 


Cash generated by operating activities, as reported

     136.7       153.1       312.9       361.4  

Adjustments:

                                

Capital expenditures

     (37.4 )     (31.4 )     (55.4 )     (97.8 )

Additional tax benefit related to stock plans

     5.0       —         21.3       —    
    


 


 


 


Free Cash Flow

   $ 104.3     $ 121.7     $ 278.8     $ 263.6  
    


 


 


 


Fully diluted shares, as GAAP reported

     337       343       341       344  

Free cash flow per fully diluted share

   $ 0.31     $ 0.35     $ 0.82     $ 0.77  
    


 


 


 


Fully diluted earnings per share, as GAAP reported

   $ 0.33     $ 0.42     $ 0.64     $ 0.84  
    


 


 


 


Fully diluted shares, as pro forma reported

     335       343       339       344  

Free cash flow per pro forma diluted share

   $ 0.31     $ 0.35     $ 0.82     $ 0.77  
    


 


 


 


Fully diluted pro forma earnings per share

   $ 0.42     $ 0.42     $ 0.81     $ 0.84  
    


 


 


 


 

– more –


Free cash flow should not be construed as a substitute for net income or as a better measure of liquidity than cash flow from operating activities, both of which are determined in accordance with Generally Accepted Accounting Principles in the United States (GAAP). Free cash flow excludes components that are significant in understanding and assessing the Company’s results of operations and cash flows. In addition, free cash flow is not a term defined by GAAP and as a result the Company’s measure of free cash flow might not be comparable to similarly titled measures used by other companies.

 

Free cash flow is used by management to evaluate, assess, and benchmark the Company’s operating results, and the Company believes that free cash flow is relevant and useful information that is often widely used by analysts, investors, and other interested parties in the semiconductor industry. Accordingly, the Company is disclosing this information to permit a comprehensive and objective analysis of the Company’s operating performance, to provide an additional measure of performance and liquidity, and to provide additional information with respect to the Company’s ability to meet future share repurchases, dividend payments, and working capital requirements.

 

****

 

Certain statements in this press release are forward-looking statements within the meaning of the Private Securities Litigation Reform Act of 1995. These statements involve risk and uncertainty. They include statements regarding the Company’s profitability and business outlook and the Company’s belief that the prospects for the analog industry are exciting, and that the Company is well positioned for profitable growth, and the Company’s expectation to implement a program that will allow its employees, excluding officers, holding vested stock options with an exercise price of at least $35 to exchange them for RSUs. Actual results could differ materially from those forecasted based upon, among other things, general market conditions and market developments that could adversely affect the growth of the mixed-signal analog market, such as declines in customer forecasts or greater than expected cyclical downturns within the mixed-signal analog segment of the semiconductor market, as well as other risks described in the Company’s Annual Report on Form 10-K for the fiscal year ended June 25, 2005.

 

– more –


All forward-looking statements included in this news release are made as of the date hereof, based on the information available to the Company as of the date hereof, and the Company assumes no obligation to update any forward-looking statement.

 

Maxim Integrated Products is a leading international supplier of quality analog and mixed-signal products for applications that require real world signal processing.

 

# # #


Reconciliation of GAAP to Pro Forma Consolidated Balance Sheets

 

 

    

12/24/05

(unaudited)


   

6/25/05

(unaudited)


 

(In thousands) 


   GAAP

    Adjustments (1)

    Pro Forma

    GAAP

    Adjustments (2)

   Pro Forma

 
Assets                                                

Current assets:

                                               

Cash and cash equivalents

   $ 148,466     $ —       $ 148,466     $ 185,551     $ —      $ 185,551  

Short-term investments

     1,192,930       —         1,192,930       1,289,141       —        1,289,141  
    


 


 


 


 

  


Total cash, cash equivalents and short-term investments

     1,341,396       —         1,341,396       1,474,692       —        1,474,692  
    


 


 


 


 

  


Accounts receivable, net

     221,029       —         221,029       192,345       —        192,345  

Inventories

     197,772       (11,272 )     186,500       167,779       —        167,779  

Deferred tax assets and other current assets

     149,596       —         149,596       138,950       —        138,950  
    


 


 


 


 

  


Total current assets

     1,909,793       (11,272 )     1,898,521       1,973,766       —        1,973,766  
    


 


 


 


 

  


Property, plant and equipment, at cost, less accumulated depreciation

     1,017,612       —         1,017,612       1,001,465       —        1,001,465  

Other assets

     29,628       —         29,628       28,840       —        28,840  
    


 


 


 


 

  


Total assets

   $ 2,957,033     $ (11,272 )   $ 2,945,761     $ 3,004,071     $ —      $ 3,004,071  
    


 


 


 


 

  


Liabilities and Stockholders’ Equity

                                               

Current liabilities:

                                               

Accounts payable

   $ 77,042     $ —       $ 77,042     $ 56,266     $ —      $ 56,266  

Accrued expenses

     173,574       (628 )     172,946       175,539       —        175,539  

Deferred income on shipments to distributors

     19,400       —         19,400       20,225       —        20,225  

Income taxes payable

     52,775       —         52,775       33,173       —        33,173  
    


 


 


 


 

  


Total current liabilities

     322,791       (628 )     322,163       285,203       —        285,203  
    


 


 


 


 

  


Deferred tax liabilities

     118,636       26,939       145,575       134,686       —        134,686  
    


 


 


 


 

  


Total liabilities

     441,427       26,311       467,738       419,889       —        419,889  
    


 


 


 


 

  


Stockholders’ equity:

                                               

Common stock

     81,223       (44,023 )     37,200       134,998       —        134,998  

Retained earnings

     2,443,976       6,440       2,450,416       2,455,714       —        2,455,714  

Accumulated other comprehensive loss

     (9,593 )     —         (9,593 )     (6,530 )     —        (6,530 )
    


 


 


 


 

  


Total stockholders’ equity

     2,515,606       (37,583 )     2,478,023       2,584,182       —        2,584,182  
    


 


 


 


 

  


Total liabilities and stockholders’ equity

   $ 2,957,033     $ (11,272 )     2,945,761     $ 3,004,071     $ —      $ 3,004,071  
    


 


 


 


 

  



(1) Adjustments consist of stock-based compensation and the related tax effect under FAS 123(R).

 

FAS 123(R) requires the Company to estimate the cost of all forms of employee stock-based compensation, including employee stock options and awards under our employee stock purchase plan, and to record a commensurate expense (which is subjective in nature) in the income statement. We are showing pro forma (non-GAAP) consolidated balance sheets, which are adjusted to reflect the GAAP results to exclude all stock-based compensation expense. This pro forma presentation is given in part to enhance the understanding of the Company’s historical financial performance and comparability between periods in light of a change in accounting standards particularly since the Company has not included stock-based compensation as an expense in its financial statements before and many companies have not yet adopted FAS 123(R). In addition, the Company strongly believes that the pro forma presentation to exclude stock-based compensation is relevant and useful information that will be widely used by analysts, investors, and other interested parties in the semiconductor industry. Accordingly, the Company is disclosing this information to permit additional analysis of the Company’s performance.

 

(2) As of June 25, 2005, no FAS 123(R) stock-based compensation was recorded.


Reconciliation of GAAP to Pro Forma Consolidated Statements of Income

 

 

    

Three Months Ended

12/24/05

(unaudited)


   

Three Months Ended

12/25/04

(unaudited)


 

(In thousands except per share data)  


   GAAP

    Adjustments (1)

    Pro Forma

    GAAP

    Adjustments (2)

   Pro Forma

 

Net revenues

   $ 445,881     $ —       $ 445,881     $ 436,061     $ —      $ 436,061  

Cost of goods sold

     141,937       (9,222 )     132,715       119,437       —        119,437  
    


 


 


 


 

  


Gross margin

     303,944       9,222       313,166       316,624       —        316,624  
       68.2 %             70.2 %     72.6 %            72.6 %
    


 


 


 


 

  


Operating expenses:

                                               

Research and development

     116,878       (24,324 )     92,554       81,035       —        81,035  

Selling, general and administrative

     31,053       (7,248 )     23,805       25,324       —        25,324  
    


 


 


 


 

  


Operating income

     156,013       40,794       196,807       210,265       —        210,265  
       35.0 %             44.1 %     48.2 %            48.2 %

Interest income, net

     11,236       —         11,236       6,225       —        6,225  
    


 


 


 


 

  


Income before provision for income taxes

     167,249       40,794       208,043       216,490       —        216,490  

Provision for income taxes

     54,691       13,340       68,031       71,875       —        71,875  
    


 


 


 


 

  


Net income

   $ 112,558     $ 27,454     $ 140,012     $ 144,615     $ —      $ 144,615  
    


 


 


 


 

  


Basic earnings per share

   $ 0.35     $ 0.08     $ 0.43     $ 0.44     $ —      $ 0.44  
    


 


 


 


 

  


Shares used in the calculation of basic earnings per share

     323,935       —         323,935       325,660       —        325,660  
    


 


 


 


 

  


Diluted earnings per share

   $ 0.33     $ 0.08     $ 0.42     $ 0.42     $ —      $ 0.42  
    


 


 


 


 

  


Shares used in the calculation of diluted earnings per share

     337,429       (2,259 )     335,170       343,226       —        343,226  
    


 


 


 


 

  


Dividends declared per share

   $ 0.125     $ —       $ 0.125     $ 0.10     $ —      $ 0.10  
    


 


 


 


 

  



(1) Adjustments consist of stock-based compensation, related tax effect, and the impact on the Treasury Stock Method under FAS 123(R).

 

FAS 123(R) requires the Company to estimate the cost of all forms of employee stock-based compensation, including employee stock options and awards under our employee stock purchase plan, and to record a commensurate expense (which is subjective in nature) in the income statement. We are showing pro forma (non-GAAP) consolidated balance sheets, which are adjusted to reflect the GAAP results to exclude all stock-based compensation expense. This pro forma presentation is given in part to enhance the understanding of the Company’s historical financial performance and comparability between periods in light of a change in accounting standards particularly since the Company has not included stock-based compensation as an expense in its financial statements before and many companies have not yet adopted FAS 123(R). In addition, the Company strongly believes that the pro forma presentation to exclude stock-based compensation is relevant and useful information that will be widely used by analysts, investors, and other interested parties in the semiconductor industry. Accordingly, the Company is disclosing this information to permit additional analysis of the Company’s performance.

 

(2) For the three months ended December 25, 2004, no FAS 123(R) stock-based compensation was recorded.


Reconciliation of GAAP to Pro Forma Consolidated Statements of Income

 

 

    

Six Months Ended

12/24/05

(unaudited)


   

Six Months Ended

12/25/04

(unaudited)


 

(In thousands except per share data)  


   GAAP

    Adjustments (1)

    Pro Forma

    GAAP

    Adjustments (2)

   Pro Forma

 

Net revenues

   $ 870,245     $ —       $ 870,245     $ 871,128     $ —      $ 871,128  

Cost of goods sold

     274,552       (19,676 )     254,876       239,689       —        239,689  
    


 


 


 


 

  


Gross margin

     595,693       19,676       615,369       631,439       —        631,439  
       68.5 %             70.7 %     72.5 %            72.5 %
    


 


 


 


 

  


Operating expenses:

                                               

Research and development

     233,931       (50,802 )     183,129       160,132       —        160,132  

Selling, general and administrative

     59,918       (11,775 )     48,143       50,386       —        50,386  
    


 


 


 


 

  


Operating income

     301,844       82,253       384,097       420,921       —        420,921  
       34.7 %             44.1 %     48.3 %            48.3 %

Interest income, net

     22,203       —         22,203       11,954       —        11,954  
    


 


 


 


 

  


Income before provision for income taxes

     324,047       82,253       406,300       432,875       —        432,875  

Provision for income taxes

     106,121       26,939       133,060       143,715       —        143,715  
    


 


 


 


 

  


Net income

   $ 217,926     $ 55,314     $ 273,240     $ 289,160     $ —      $ 289,160  
    


 


 


 


 

  


Basic earnings per share

   $ 0.67     $ 0.17     $ 0.84     $ 0.89     $ —      $ 0.89  
    


 


 


 


 

  


Shares used in the calculation of basic earnings per share

     325,832       —         325,832       325,164       —        325,164  
    


 


 


 


 

  


Diluted earnings per share

   $ 0.64     $ 0.16     $ 0.81     $ 0.84     $ —      $ 0.84  
    


 


 


 


 

  


Shares used in the calculation of diluted earnings per share

     340,715       (2,054 )     338,661       344,051       —        344,051  
    


 


 


 


 

  


Dividends declared per share

   $ 0.225     $ —       $ 0.225     $ 0.18     $ —      $ 0.18  
    


 


 


 


 

  



(1) Adjustments consist of stock-based compensation, related tax effect, and the impact on the Treasury Stock Method under FAS 123(R).

 

FAS 123(R) requires the Company to estimate the cost of all forms of employee stock-based compensation, including employee stock options and awards under our employee stock purchase plan, and to record a commensurate expense (which is subjective in nature) in the income statement. We are showing pro forma (non-GAAP) consolidated balance sheets, which are adjusted to reflect the GAAP results to exclude all stock-based compensation expense. This pro forma presentation is given in part to enhance the understanding of the Company’s historical financial performance and comparability between periods in light of a change in accounting standards particularly since the Company has not included stock-based compensation as an expense in its financial statements before and many companies have not yet adopted FAS 123(R). In addition, the Company strongly believes that the pro forma presentation to exclude stock-based compensation is relevant and useful information that will be widely used by analysts, investors, and other interested parties in the semiconductor industry. Accordingly, the Company is disclosing this information to permit additional analysis of the Company’s performance.

 

(2) For the six months ended December 25, 2004, no FAS 123(R) stock-based compensation was recorded.


Reconciliation of GAAP to Pro Forma Consolidated Statements of Income

 

 

    

Three Months Ended

9/24/05

(unaudited)


 

(In thousands except per share data)  


   GAAP

    Adjustments (1)

    Pro Forma

 

Net revenues

   $ 424,364     $ —       $ 424,364  

Cost of goods sold

     132,615       (10,454 )     122,161  
    


 


 


Gross margin

     291,749       10,454       302,203  
       68.7 %             71.2 %
    


 


 


Operating expenses:

                        

Research and development

     117,053       (26,478 )     90,575  

Selling, general and administrative

     28,865       (4,527 )     24,338  
    


 


 


Operating income

     145,831       41,459       187,290  
       34.4 %             44.1 %

Interest income, net

     10,967       —         10,967  
    


 


 


Income before provision for income taxes

     156,798       41,459       198,257  

Provision for income taxes

     51,430       13,599       65,029  
    


 


 


Net income

   $ 105,368     $ 27,860     $ 133,228  
    


 


 


Basic earnings per share

   $ 0.32     $ 0.08     $ 0.41  
    


 


 


Shares used in the calculation of basic earnings per share

     327,959       —         327,959  
    


 


 


Diluted earnings per share

   $ 0.31     $ 0.08     $ 0.39  
    


 


 


Shares used in the calculation of diluted earnings per share

     344,860       (2,218 )     342,642  
    


 


 


Dividends declared per share

   $ 0.10     $ —       $ 0.10  
    


 


 



(1) Adjustments consist of stock-based compensation, related tax effect, and the impact on the Treasury Stock Method under FAS 123(R).

 

FAS 123(R) requires the Company to estimate the cost of all forms of employee stock-based compensation, including employee stock options and awards under our employee stock purchase plan, and to record a commensurate expense (which is subjective in nature) in the income statement. We are showing pro forma (non-GAAP) consolidated balance sheets, which are adjusted to reflect the GAAP results to exclude all stock-based compensation expense. This pro forma presentation is given in part to enhance the understanding of the Company’s historical financial performance and comparability between periods in light of a change in accounting standards particularly since the Company has not included stock-based compensation as an expense in its financial statements before and many companies have not yet adopted FAS 123(R). In addition, the Company strongly believes that the pro forma presentation to exclude stock-based compensation is relevant and useful information that will be widely used by analysts, investors, and other interested parties in the semiconductor industry. Accordingly, the Company is disclosing this information to permit additional analysis of the Company’s performance.


Maxim Integrated Products, Incorporated

 

Company Profile

 

NASDAQ Symbol: MXI                         Founded 1983     Public since: February 29, 1988

 

OPERATIONS

 

Corporate Offices:

  120 San Gabriel Drive, Sunnyvale, California 94086

U.S. Sales Offices:

  Sunnyvale and Costa Mesa, CA; Wheeling, IL; Roswell, GA; Chelmsford, MA; Austin and Dallas, TX; Beaverton, OR

Foreign Offices:

  Munich, Germany; Tokyo, Japan; London, UK; Paris, France; Taipei, Taiwan; Seoul, South Korea; Singapore; Milan, Italy; Beijing, China; Stockholm, Sweden; Zurich, Switzerland; Viborg, Denmark; Helsinki, Finland

 

PRODUCTS

 

Maxim designs, develops, manufactures and markets a broad range of linear and mixed-signal integrated circuits for use in a variety of electronic products. Maxim circuits “connect” the real world and the digital world by detecting, measuring, amplifying, and converting real world and communication signals, such as temperature, pressure, sound, voice, or light into the digital signals necessary for computer and DSP processing.

 

         LOGO

 

    Maxim serves approximately 35,000 customers worldwide.
    Maxim believes it has developed more products than any other analog company in the past 22 years.
    Maxim is recognized as the leader in CMOS analog and bipolar high-frequency technologies.
    78% international sales for Q2 FY06.

 

FINANCIAL HIGHLIGHTS (In thousands, except EPS)

 

     FY2002

    FY2003

    FY2004

    FY2005

    Q2 FY2006

 

Net Revenues

   $ 1,025,104     $ 1,153,219     $ 1,439,263     $ 1,671,713     $ 445,881  

Net Income

   $ 259,183     $ 309,601     $ 419,752     $ 540,837     $ 112,558  

Shares

     355,821       341,253       350,575       342,843       337,429  

Diluted EPS

   $ 0.73     $ 0.91     $ 1.20     $ 1.58     $ 0.33  

Cash and Short-Term Investments

   $ 765,501     $ 1,164,007     $ 1,096,613     $ 1,474,692     $ 1,341,396  

Total Assets

   $ 2,010,812     $ 2,367,962     $ 2,549,462     $ 3,004,071     $ 2,957,033  

Stockholders’ Equity

   $ 1,741,151     $ 2,070,412     $ 2,112,318     $ 2,584,182     $ 2,515,606  

ROE

     13.5 %     16.2 %     20.1 %     23.0 %     17.3 %

Market Cap

   $ 13,391,992     $ 11,870,840     $ 18,240,400     $ 13,319,468     $ 12,822,288  

 

RESEARCH COVERAGE

 

Amtech Research, Doug Freedman (415) 490-3921

  Morgan Stanley, Louis Gerhardy (415) 576-2391

Banc of America, Sumit Dhanda (415) 913-5481

  Morningstar, Brian Lee (312) 696-6221

C.E. Unterberg, Towbin, Ramesh Misra (415) 659-2289

  Pacific Crest Securities, Michael McConnell (503) 790-7788

CIBC, Richard Schafer (720) 554-1119

  Pacific Growth Equities, Jim Liang (415) 274-6889

Credit Suisse First Boston, Michael Masdea (415) 836-7779

  Prudential Securities, Mark Lipakis (415) 395-2063

Deutsche Bank, Ross Seymore (415) 617-3268

  Raymond James, Steve Smigie (727) 567-2557

FBR, Christopher Caso (212) 381-9217

  RBC Capital, Apjit Walia (212) 428-6406

Global Crown Capital, David Wu (415) 402-0518

  Sanford C. Bernstein, Adam Parker (212) 756-4658

Goldman Sachs, Simona Jankowski (415) 249-7437

  Smith Barney, Craig Ellis (415) 951-1887

Investec, Bobby Burleson (212) 898-7716

  Thomas Weisel, Eric Gromberg (212) 271-3765

Jeffries & Co., John Lau (212) 284-2127

  U.S. Bancorp Piper Jaffray, Tore Svanberg (650) 838-1411

JP Morgan, William Lewis (415) 315-6780

  UBS, Tom Thornhill (415) 352-5667

Lehman Brothers, Romit Shah (212) 526-7865

  Wachovia Securities, Craig Hettenbach (212) 214-5032

Merrill Lynch, Joseph Osha (415) 676-3510

  William Blair & Company LLC, Jeff Rosenberg (312) 364-8342

 

LOGO

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