第99.1展示文本
zoom視頻通訊報告2025財政年第二季度財務業績
Investor Relations
查爾斯·伊夫斯拉格
Head of Investor Relations
investors@zoom.us
Zoom Video Communications, Inc.
Condensed Consolidated Balance Sheets
(In thousands)
As of
$
1,539,457
$
1,558,252
Marketable securities
5,980,575
5,404,233
Accounts receivable, net
528,237
536,078
Deferred contract acquisition costs, current
197,502
208,474
Prepaid expenses and other current assets
149,374
219,182
Total current assets
8,395,145
7,926,219
Deferred contract acquisition costs, noncurrent
關於Zoom:Zoom的使命是提供一個平臺,實現無限人際交流。Zoom Workplace是該公司為現代工作而構建的AI動力開放協作平臺,將簡化通信、增強員工參與度、優化面對面時間、提高生產力,並提供第三方應用程序和集成的客户選擇。Zoom Workplace將包括諸如會議、團隊聊天、電話、計劃程序、白板、空間、Workvivo等協作解決方案。Zoom Business Services針對銷售、營銷和客户護理團隊,包括Zoom Contact Center,在客户生命週期內加強客户關係。Zoom成立於2011年,是公開交易的(納斯達克:ZM),總部位於加利福尼亞州聖何塞。獲取更多信息,請訪問zoom.com。
138,724
前瞻性聲明
347,714
293,704
非依照普遍公認會計準則的財務措施
53,045
58,975
Strategic investments
438,529
409,222
Goodwill
客户指標
307,295
Deferred tax assets
718,066
公共關係
Colleen Rodriguez
全球公共關係總監
press@zoom.us
投資者關係
$
投資者關係主管
investors@zoom.us
日期:2020年8月31日
壓縮合並資產負債表
(以千為單位)
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| | 截至 |
| | 7月31日 2024 | | 1月31日, 2024 |
資產 | | (未經審計) | | |
流動資產: | | | | |
現金及現金等價物 | | $ | 1,251,848 | | | $ | 1,841,348 | |
有價證券 | | Deferred revenue, noncurrent | | | 15,416 | |
應收賬款淨額 | | Operating lease liabilities, noncurrent | | | 36,052 | |
當前延期合同獲取成本 | | Other liabilities, noncurrent | | | 89,129 | |
資產預付款和其他流動資產的變動 | | Total liabilities | | | 1,981,945 | |
總流動資產 | | Stockholders’ equity: | | | Common stock | |
遞延合同獲取成本,非流動資產 | | 307 | | | Additional paid-in capital | |
資產和設備,淨值 | | 5,228,756 | | | Accumulated other comprehensive (loss) income | |
經營租賃權使用資產 | | 1,063 | | | Retained earnings | |
戰略投資 | | 2,789,280 | | | Total stockholders’ equity | |
商譽 | | 8,019,406 | | | Total liabilities and stockholders’ equity | |
遞延所得税資產 | | 10,507,192 | | | $ | |
其他資產,非流動資產 | | 注:未計入應收賬款淨額內的未開票應收賬款金額分別為2024年7月31日和2024年1月31日的11990萬和12480萬美元。 | | | Zoom Video Communications, Inc. | |
總資產 | | $ | 2021年7月31日結束的三個月 | | | $ | 2024 | |
負債和股東權益 | | | | |
流動負債: | | | | |
應付賬款 | | $ | 10,611 | | | $ | 10,175 | |
應計費用及其他流動負債
| | $ | | | 2,303,754 | |
遞延收入,流動 | | 2,244,040 | | | Cost of revenue | |
流動負債合計 | | 266,559 | | | 558,391 | |
非流動遞延收入 | | 15,416 | | | 877,431 | |
非流動營業租賃負債 | | 1,745,363 | | | 1,713,534 | |
其他負債,非流動負債 | | Research and development | | | 206,756 | |
負債合計 | | 412,314 | | | 401,073 | |
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股東權益: | | | | |
| | | | |
普通股 | | 308 | | | 307 | |
額外實收資本 | | General and administrative | | | 109,535 | |
已實現其他綜合收益 (損失) | | 2,191 | | | 1,063 | |
保留盈餘 | | 675,061 | | | 694,499 | |
股東權益總額 | | 1,526,174 | | | Income from operations | |
負債和股東權益總額 | | $ | 405,392 | | | $ | Gains on strategic investments, net | |
3,107
日期:2020年8月31日
簡明的彙總操作表
(未經審計,以千為單位,除每股份額數量和每股份額金額外)
| | | | | | | | | | | | | | | | | | | | | | | | | | |
| | Other income, net | | 87,412 |
| | 2024 | | 2023 | | 2024 | | 2023 |
營業收入 | | $ | 584,853 | | | $ | Provision for income taxes | | | $ | 68,399 | | | $ | 96,185 | |
營業收入成本 | | 219,015 | | | 181,974 | | | 435,323 | | | 197,418 | |
毛利潤 | | Basic | | | 0.65 | | | Weighted-average shares used in computing net income per share: | | | Basic | |
營業費用: | | | | | | | | |
研發 | | 308,921,610 | | | 297,281,846 | | | Diluted | | | 314,027,192 | |
銷售及營銷費用 | | 314,696,351 | | | 305,054,771 | | | Zoom Video Communications, Inc. | | | Condensed Consolidated Statements of Cash Flows | |
普通和管理 | | 截止於7月31日的三個月 | | | 七月三十一日結束的六個月 | | | 2024 | | | 2023 | |
營業費用總計 | | 2023 | | | Cash flows from operating activities: | | | Net income | | | $ | |
營業利潤 | | $ | | | 181,974 | | | $ | | | 435,323 | |
戰略投資淨收益 | | 3,107 | | | 31,670 | | | 20,461 | | | 33,945 | |
其他收入,淨額 | | 467,375 | | | 543,854 | | | 159,000 | | | 71,688 | |
| | | | | | | | |
税前收益 | | 139,813 | | | 138,744 | | | Depreciation and amortization | | | 293,603 | |
所得税費用 | | 55,751 | | | 50,202 | | | Deferred income taxes | | | (49,914) | |
淨收入 | | 219,015 | | | 13,975 | | | Gains on strategic investments, net | | | (3,107) | |
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每股淨利潤: | | | | | | | | |
基本 | | $ | 0.71 | | | $ | 0.61 | | | $ | 1.41 | | | $ | 0.66 | |
攤薄 | | $ | 0.70 | | | $ | 0.59 | | | $ | 1.38 | | | $ | 0.65 | |
計算每股淨利潤的加權平均股數: | | | | | | | | |
基本 | | (35,840) | | | (18,014) | | | Other | | | (1,323) | |
攤薄 | | (1,225) | | | (3,415) | | | Changes in operating assets and liabilities: | | | Accounts receivable | |
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日期:2020年8月31日
簡明的綜合現金流量表
(未經審計,以千為單位)
| | | | | | | | | | | | | | | | | | | | | | | | | | |
| | 13,631 | | Prepaid expenses and other assets |
| | 2024 | | 2023 | | 2024 | | 2023 |
經營活動現金流量: | | | | | | | | |
淨收入 | | $ | 219,015 | | | $ | Accounts payable | | | $ | 3,118 | | | $ | 4,999 | |
調整淨利潤以計入經營活動現金流量: | | | | | | | | |
股票補償費用 | | (83,591) | | | 261,509 | | | (58,951) | | | Deferred revenue | |
延期合同獲取成本的攤銷 | | 71,688 | | | 133,629 | | | 56,332 | | | Operating lease liabilities, net | |
折舊和攤銷 | | 29,084 | | | 26,126 | | | (11,101) | | | 50,202 | |
延遲所得税 | | 335,971 | | | 1,037,525 | | | (57,866) | | | 13,975 | |
戰略投資淨收益 | | (3,107) | | | (31,670) | | | (2,181,315) | | | (1,826,166) | |
應收款準備金 | | 5,736 | | | 6,771 | | | 12,518 | | | 22,204 | |
未實現外匯(收益)損失 | | (8) | | | 1,367 | | | 7,229 | | | 4,683 | |
非現金營業租賃成本 | | 6,589 | | | 5,276 | | | 11,957 | | | (51,000) | |
| | | | | | | | |
戰略投資收益 | | (18,172) | | | 107,244 | | | 4,654 | | | (18,014) | |
其他 | | (1,323) | | | 2,056 | | | (1,225) | | | (3,415) | |
經營性資產和負債變動: | | | | | | | | |
應收賬款 | | (4,623) | | | (648,734) | | | 7,637 | | | 13,631 | |
預付款項和其他資產 | | 25,196 | | | 3,418 | | | 1,855 | | | 7,686 | |
延期的合同收購成本 | | 34,263 | | | | | | 34,263 | | | 32,513 | |
應付賬款 | | (7,009) | | | 3,118 | | | 267。 | | | 銷售税及其他税費 | |
應計費用及其他負債 | | (287,645) | | | — | | | (437,693) | | | — | |
遞延收入 | | (256,265) | | | 2,992 | | | (398,716) | | | 41,458 | |
經營租賃負債,淨額 | | (7,817) | | | (5,600) | | | (14,931) | | | (11,101) | |
| | | | | | | | |
經營活動產生的現金流量淨額 | | (347,135) | | | 349,822 | | | (16,071) | | | 291,989 | |
投資活動現金流量: | | | | | | | | |
購買有市場流通的證券 | | 1,042,410 | | | 1,565,380 | | | 1,100,243 | | | Cash, cash equivalents, and restricted cash – end of period | |
有價證券到期收益 | | 1,549,309 | | | $ | | | 1,392,232 | | | $ | |
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購買固定資產 | | $ | | | 1,392,232 | | | Zoom Video Communications, Inc. | | | Reconciliation of GAAP to Non-GAAP Measures | |
戰略投資的購買 | | (10,500) | | | — | | | (13,500) | | | (51,000) | |
2024 | | — | | | 107,244 | | | 4,654 | | | 107,244 | |
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淨現金支付的收購價,減去現金收購價 | | — | | | (5,502) | | | — | | | $ | |
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投資活動產生的淨現金流出 | | Add: | | | (19,360) | | | 244,111 | | | 269,320 | |
籌集資金的現金流量: | | | | | | | | |
期權行權所得款項 | | 839 | | | 3,418 | | | 1,855 | | | 7,686 | |
員工購股計劃發行普通股所得款項 | | 34,263 | | | 10,811 | | | 34,263 | | | 21,512 | |
23,779 | | (3,722) | | | (1,492) | | | 2,859 | | | 1,259 | |
72,993 | | Non-GAAP income from operations | | | — | | | 455,542 | | | — | |
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籌資活動的淨現金流量(使用)/提供的淨現金流量 | | $ | | | 912,139 | | | $ | | | | |
匯率變動對現金、現金等價物及受限現金的影響 | | 706 | | | (1,228) | | | (6,146) | | | % | |
現金、現金等價物及受限制的現金的淨(減少)增加額 | | % | | | % | | | (16,071) | | | % | |
現金、現金等價物和受限制的現金-期初餘額 | | $ | | | 219,015 | | | $ | | | 181,974 | |
現金、現金等價物和受限制的現金-期末餘額 | | $ | $ | | | $ | Add: | | | $ | 244,111 | | | $ | 486,985 | |
日期:2020年8月31日
GAAP和非GAAP措施的調和
(未經審計,以千為單位,除每股份額數量和每股份額金額外)
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| | — | | (1,750) |
| | 2024 | | 2023 | | 2024 | | 2023 |
按照通用會計準則計算的營業利潤額 | | $ | Acquisition-related expenses | | | $ | 14,928 | | | $ | 23,779 | | | $ | — | |
添加: | | | | | | | | |
— | | 72,993 | | | 非依照美國通用會計準則調整的税務影響 | | | (32,659) | | | (24,800) | |
(58,870) | | (1,750) | | | — | | | (1,750) | | | 52,500 | |
收購相關費用 | | 10,811 | | | $ | | | 862,739 | | | 23,779 | |
重組費用 | | — | | | (187) | | | — | | | 72,993 | |
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非通用會計淨營業利潤 | | $ | 1.37 | | | $ | 2.79 | | | $ | 2.57 | | | $ | 2.50 | |
營業利潤率 | | 17.4 | % | | 15.6 | % | | 17.6 | % | | 8.3 | % |
非GAAP營業利潤率 | | 39.2 成交量 | % | | 40.5 | % | | 39.6 | % | | 39.4 | % |
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按照通用會計準則計算的淨收益 | | $ | 219,015 | | | $ | (102,742) | | | $ | Free cash flow (non-GAAP) | | | $ | 365,100 | |
添加: | | | | | | | | |
289,371 | | $ | | | 934,783 | | | $ | | | 686,032 | |
Net cash used in investing activities | | (1,750) | | | — | | | (1,750) | | | 52,500 | |
戰略投資淨收益 | | (3,107) | | | (31,670) | | | (500,146) | | | Net cash (used in) provided by financing activities | |
收購相關費用 | | 10,811 | | | $ | | | 34,439 | | | 23,779 | |
重組費用 | | — | | | (187) | | | — | | | 72,993 | |
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% | | 29.5 | | | (24,800) | | | 45.0 | | | % | |
非GAAP淨利潤 | | $ | 自由現金流利潤率(非GAAP) | | | $ | % | | | $ | % | | | $ | % | |
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30.6 | | | | | | | | |
% | | $ | 0.71 | | | $ | 0.61 | | | $ | 1.41 | | | $ | 0.66 | |
每股非通用會計淨利潤 - 基本 | | $ | 1.41 | | | $ | 1.37 | | | $ | 2.79 | | | $ | 2.57 | |
加:匯率期貨影響 | | $ | 0.70 | | | $ | 0.59 | | | $ | 1.38 | | | $ | 0.65 | |
每股非通用會計淨利潤 - 稀釋 | | $ | 1.39 | | | $ | 1.34 | | | $ | 2.74 | | | $ | 2.50 | |
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經營活動產生的現金流量淨額 | | $ | | | | $ | | | | $ | | | | $ | | |
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減:購買固定資產 | | | | | | | | | | | | |
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自由現金流(非GAAP) | | $ | | | | $ | | | | $ | | | | $ | | |
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投資活動產生的淨現金流出 | | $ | | | | $ | (19,360) | | | $ | | | | $ | | |
籌資活動的淨現金流量(使用)/提供的淨現金流量 | | $ | | | | $ | | | | $ | | | | $ | | |
| | 38.7 | % | | 29.5 | % | | 45.0 | % | | 33.6 | % |
| | 31.4 | % | | 25.4 | % | | 40.6 | % | | 30.6 | % |
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| | 2024 | | 2024 |
| | 營業收入 | | | | 營業收入 | | |
GAAP營業收入 | | $ | | | | 2.1 | % | | $ | | | | 2.7 | % |
| | 3,573 | | | 0.3 | % | | 5,923 | | | 0.2 | % |
| | | | | 2.4 | % | | | | | 2.9 | % |