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Unaudited Condensed Consolidated Statements of Cash Flows - USD ($)
$ in Thousands
6 Months Ended
Sep. 30, 2016
Sep. 30, 2015
Operating Activities:    
Net loss $ (16,464) $ (1,385)
Adjustments to reconcile net loss to net cash provided by (used in) operating activities:    
Depreciation and amortization 9,963 4,350
Amortization of films and television programs 588,549 361,290
Amortization of debt discount and deferred financing costs 4,702 4,527
Non-cash share-based compensation 46,200 33,983
Other non-cash items 2,500 0
Equity interests income (12,754) (18,537)
Deferred income taxes (86,861) (2,612)
Changes in operating assets and liabilities:    
Restricted cash 6 0
Accounts receivable, net 89,346 12,007
Investment in films and television programs (446,670) (535,470)
Other assets (4,234) (1,828)
Accounts payable and accrued liabilities (8,449) (34,300)
Participations and residuals 44,524 44,938
Film obligations 19,891 (11,148)
Deferred revenue (35,851) (24,423)
Net Cash Flows Provided By (Used In) Operating Activities 194,398 (168,608)
Investing Activities:    
Investment in equity method investees (5,344) (3,659)
Distributions from equity method investees 2,263 0
Purchases of property and equipment (6,301) (6,880)
Net Cash Flows Used In Investing Activities (9,382) (10,539)
Financing Activities:    
Senior revolving credit facility - borrowings 454,000 48,000
Senior revolving credit facility - repayments (314,000) (48,000)
Term Loan - borrowings, net of deferred financing costs of $964 in 2015 0 24,036
Convertible senior subordinated notes - repurchases 0 (5)
Production loans - borrowings 152,296 370,945
Production loans - repayments (373,726) (112,474)
Dividends paid (26,819) (20,563)
Distributions to noncontrolling interest (3,309) 0
Exercise of stock options 500 4,453
Tax withholding required on equity awards (27,253) (18,983)
Net Cash Flows Provided By (Used In) Financing Activities (138,311) 247,409
Net Change In Cash And Cash Equivalents 46,705 68,262
Foreign Exchange Effects on Cash 1,506 (542)
Cash and Cash Equivalents - Beginning Of Period 57,742 102,697
Cash and Cash Equivalents - End Of Period $ 105,953 $ 170,417