MAGICJACK VOCALTEC LTD.
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(Registrant)
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By:
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/s/ Daniel Borislow | |
Name: |
Daniel Borislow
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Title: |
President and Chief Executive Officer
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December 31,
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June 30,
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2010
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2011
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ASSETS
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(Unaudited)
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(Unaudited)
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Current assets:
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Cash and cash equivalents
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$ | 28,628 | $ | 19,463 | ||||
Marketable securities, at fair value
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19,331 | 20,200 | ||||||
Accounts receivable, net of allowance for doubtful accounts and billing adjustments
of $8,498 and $13,487, respectively
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10,336 | 11,662 | ||||||
Inventories
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3,008 | 6,134 | ||||||
Deferred costs
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6,615 | 5,170 | ||||||
Deposits and other current assets
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1,541 | 1,616 | ||||||
Total current assets
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69,459 | 64,245 | ||||||
Property and equipment, net
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3,771 | 3,402 | ||||||
Intangible assets, net
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7,275 | 12,494 | ||||||
Goodwill
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32,304 | 32,304 | ||||||
Deposits and other non-current assets
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1,739 | 1,810 | ||||||
Total assets
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$ | 114,548 | $ | 114,255 | ||||
LIABILITIES AND CAPITAL DEFICIT
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Current liabilities:
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Accounts payable
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$ | 2,590 | $ | 4,494 | ||||
Accrued expenses and other current liabilities
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9,834 | 11,147 | ||||||
Accrued bonuses
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1,000 | - | ||||||
Deferred revenue, current portion
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58,087 | 49,025 | ||||||
Total current liabilities
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71,511 | 64,666 | ||||||
Deferred revenue, net of current portion
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34,121 | 44,151 | ||||||
Other non-current liabilities
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664 | 3,953 | ||||||
Total liabilities
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106,296 | 112,770 | ||||||
Commitments and contingencies
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Redeemable ordinary shares, No par value; 333 shares issued and outstanding
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8,373 | 8,210 | ||||||
Capital deficit:
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Ordinary shares, No par value; 100,000 shares authorized; 11,476 and 10,924 shares
issued, respectively; 11,473 and 10,916 shares outstanding, respectively
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91,527 | 78,161 | ||||||
Additional paid-in capital
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1,971 | 3,082 | ||||||
Accumulated other comprehensive income
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989 | 1,803 | ||||||
Treasury stock (3 and 8 shares, respectively)
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(81 | ) | (204 | ) | ||||
Deficit
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(94,527 | ) | (89,567 | ) | ||||
Total capital deficit
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(121 | ) | (6,725 | ) | ||||
Total liabilities and capital deficit
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$ | 114,548 | $ | 114,255 |
Three Months
Ended
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Six Months
Ended
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Three Months
Ended
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Six Months
Ended
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June 30, 2010
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June 30, 2010
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June 30, 2011
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June 30, 2011
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(Unaudited)
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(Unaudited)
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(Unaudited)
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(Unaudited)
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Revenues
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$ | 30,579 | $ | 61,377 | $ | 28,818 | $ | 58,904 | ||||||||
Cost of revenues
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14,021 | 29,104 | 12,096 | 25,089 | ||||||||||||
Gross profit
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16,558 | 32,273 | 16,722 | 33,815 | ||||||||||||
Operating expenses:
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Advertising
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7,747 | 17,801 | 6,835 | 13,511 | ||||||||||||
General and administrative
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7,039 | 15,175 | 6,743 | 13,573 | ||||||||||||
Research and development
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517 | 1,571 | 670 | 1,326 | ||||||||||||
Total operating expenses
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15,303 | 34,547 | 14,248 | 28,410 | ||||||||||||
Operating income (loss)
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1,255 | (2,274 | ) | 2,474 | 5,405 | |||||||||||
Other income (expense):
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Realized gains (losses) on marketable securities
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(1,139 | ) | (237 | ) | 552 | (757 | ) | |||||||||
Interest and dividend income
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332 | 580 | 188 | 382 | ||||||||||||
Interest expense
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- | (146 | ) | (40 | ) | (40 | ) | |||||||||
Other income, net
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9 | 15 | 10 | 22 | ||||||||||||
Gain on extinguishment of debt
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234 | 234 | - | - | ||||||||||||
Total other income (expense)
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(564 | ) | 446 | 710 | (393 | ) | ||||||||||
Net income (loss) before income taxes
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691 | (1,828 | ) | 3,184 | 5,012 | |||||||||||
Income tax expense
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- | 7 | 24 | 52 | ||||||||||||
Net income (loss)
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$ | 691 | $ | (1,835 | ) | $ | 3,160 | $ | 4,960 | |||||||
Income (loss) per ordinary share:
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Basic
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$ | 0.05 | $ | (0.21 | ) | $ | 0.28 | $ | 0.43 | |||||||
Diluted
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$ | 0.05 | $ | (0.21 | ) | $ | 0.27 | $ | 0.42 |
Common Stock
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Additional
Paid-in
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Accumulated
Other
Comprehensive
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Treasury
Stock
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Total
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Number
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Amount
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Capital
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Income
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Amount
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Deficit
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Capital Deficit
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Balance, January 1, 2011
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11,473 | $ | 91,527 | $ | 1,971 | $ | 989 | $ | (81 | ) | $ | (94,527 | ) | $ | (121 | ) | ||||||||||||
Exercise of ordinary share options
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164 | 1,355 | - | - | - | - | 1,355 | |||||||||||||||||||||
Share based compensation
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17 | 413 | 112 | - | - | - | 525 | |||||||||||||||||||||
Purchase of treasury stock
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(738 | ) | - | 798 | - | (15,257 | ) | - | (14,459 | ) | ||||||||||||||||||
Retirement of treasury stock
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- | (15,134 | ) | - | - | 15,134 | - | - | ||||||||||||||||||||
Contributed services
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- | - | 38 | - | - | - | 38 | |||||||||||||||||||||
Unrealized gain on marketable securities
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- | - | - | 814 | - | - | 814 | |||||||||||||||||||||
Adjustment of redemption value of
redeemable ordinary shares
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- | - | 163 | - | - | - | 163 | |||||||||||||||||||||
Net income
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- | - | - | - | - | 4,960 | 4,960 | |||||||||||||||||||||
Balance, June 30, 2011
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10,916 | $ | 78,161 | $ | 3,082 | $ | 1,803 | $ | (204 | ) | $ | (89,567 | ) | $ | (6,725 | ) |
Six Months Ended
June 30,
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2010
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2011
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Cash flows from operating activities:
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(Unaudited)
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(Unaudited)
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Net (loss) income
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$ | (1,835 | ) | $ | 4,960 | |||
Adjustments to reconcile net (loss) income to
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net cash provided by operating activities:
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Provision for doubtful accounts and billing adjustments
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1,901 | 5,071 | ||||||
Stock-based compensation
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4,990 | 324 | ||||||
Depreciation and amortization
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1,421 | 2,055 | ||||||
Deferred income tax provision
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- | 46 | ||||||
Interest expense - non-cash
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85 | 40 | ||||||
Realized loss on sale of securities
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237 | 757 | ||||||
Gain on extinguishment of debt
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(234 | ) | - | |||||
Contributed services
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- | 38 | ||||||
Decrease (increase) in operating assets:
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Accounts receivable
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(2,061 | ) | (6,397 | ) | ||||
Inventories
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734 | (3,126 | ) | |||||
Deferred costs
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492 | 1,445 | ||||||
Deposits and other current assets
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1,512 | (4 | ) | |||||
Deposits and other non-current assets
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(698 | ) | 59 | |||||
Increase (decrease) in operating liabilities:
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Accounts payable
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143 | 1,888 | ||||||
Accrued expenses and other current liabilities
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768 | (975 | ) | |||||
Accrued bonuses
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- | (1,000 | ) | |||||
Deferred revenue
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8,393 | 968 | ||||||
Other non-current liabilities
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- | (52 | ) | |||||
Net cash provided by operating activities
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15,848 | 6,097 | ||||||
Cash flows from investing activities:
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Purchase of marketable securities
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(21,743 | ) | (4,233 | ) | ||||
Sales of marketable securities
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12,952 | 4,016 | ||||||
Purchases to cover short investment positions
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- | (7,415 | ) | |||||
Sales of short investment positions
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- | 7,555 | ||||||
Purchases of property and equipment
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(724 | ) | (617 | ) | ||||
Acquisition of other intangible assets
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(24 | ) | (1,517 | ) | ||||
Net cash used in investing activities
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(9,539 | ) | (2,211 | ) | ||||
Cash flows from financing activities:
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Repurchase of ordinary shares to settle bonus withholding liability
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(3,981 | ) | - | |||||
Purchase of treasury stock
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- | (14,406 | ) | |||||
Repayment of debt
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(4,766 | ) | - | |||||
Proceeds from exercise of ordinary share options
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28 | 1,355 | ||||||
Net cash used in financing activities
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(8,719 | ) | (13,051 | ) | ||||
Net decrease in cash and cash equivalents
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(2,410 | ) | (9,165 | ) | ||||
Cash and cash equivalents, beginning of period
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13,335 | 28,628 | ||||||
Cash and cash equivalents, end of period
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$ | 10,925 | $ | 19,463 |