See accompanying notes.
CASH FLOWS STATEMENTS
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(In millions)
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Year Ended June 30,
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2011
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2010
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2009
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Operations
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Net income
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$
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23,150
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$
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18,760
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$
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14,569
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|
Adjustments to reconcile net income to net cash from operations:
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Depreciation, amortization, and other
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2,766
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2,673
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2,562
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Stock-based compensation expense
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2,166
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1,891
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1,708
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Net recognized losses (gains) on investments and derivatives
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(362
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)
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(208
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)
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683
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Excess tax benefits from stock-based compensation
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(17
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)
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(45
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)
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(52
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)
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Deferred income taxes
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2
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(220
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)
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762
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Deferral of unearned revenue
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31,227
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29,374
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24,409
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Recognition of unearned revenue
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(28,935
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)
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(28,813
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)
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(25,426
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)
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Changes in operating assets and liabilities:
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Accounts receivable
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(1,451
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)
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(2,238
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)
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2,215
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Inventories
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(561
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)
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(44
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)
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255
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Other current assets
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(1,259
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)
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464
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(677
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)
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Other long-term assets
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62
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(223
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)
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(273
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)
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Accounts payable
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58
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|
844
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(671
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)
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Other current liabilities
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(1,146
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)
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451
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(2,700
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)
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Other long-term liabilities
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1,294
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1,407
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1,673
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Net cash from operations
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26,994
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24,073
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19,037
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Financing
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Short-term debt borrowings (repayments), maturities of 90 days or less, net
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(186
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)
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(991
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)
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1,178
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Proceeds from issuance of debt, maturities longer than 90 days
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6,960
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4,167
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4,796
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Repayments of debt, maturities longer than 90 days
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(814
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)
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(2,986
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)
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(228
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)
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Common stock issued
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2,422
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2,311
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|
579
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Common stock repurchased
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(11,555
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)
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(11,269
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)
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(9,353
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)
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Common stock cash dividends paid
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(5,180
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)
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(4,578
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)
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(4,468
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)
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Excess tax benefits from stock-based compensation
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17
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45
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52
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Other
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(40
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)
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10
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(19
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)
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Net cash used in financing
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(8,376
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)
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(13,291
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)
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(7,463
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)
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Investing
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Additions to property and equipment
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(2,355
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)
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(1,977
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)
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(3,119
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)
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Acquisition of companies, net of cash acquired
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(71
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)
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(245
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)
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(868
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)
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Purchases of investments
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(35,993
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)
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(30,168
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)
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(36,850
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)
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Maturities of investments
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6,897
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7,453
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6,191
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Sales of investments
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15,880
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15,125
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19,806
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Securities lending payable
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1,026
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(1,502
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)
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(930
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)
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Net cash used in investing
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(14,616
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)
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(11,314
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)
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(15,770
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)
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Effect of exchange rates on cash and cash equivalents
|
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|
103
|
|
|
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(39
|
)
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(67
|
)
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Net change in cash and cash equivalents
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4,105
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(571
|
)
|
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(4,263
|
)
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Cash and cash equivalents, beginning of period
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5,505
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|
|
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6,076
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10,339
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Cash and cash equivalents, end of period
|
|
$
|
9,610
|
|
|
$
|
5,505
|
|
|
$
|
6,076
|
|
|
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Directory: investor -> reportsreports -> United States Securities and Exchange Commission Washington, D. C. 20549 form 10-Kreports -> Dear shareholders, customers, partners and colleaguesreports -> To our shareholders, customers, partners and employeesinvestor -> Microsoft Financial Analyst Meeting 2013 Engineer Leader Panel Moderator: Tami Reller Julie Larson-Green, Kirill Tatarinov, Qi Lu, Satya Nadella, Terry Myerson Bellevue, Washington September 19, 2013 chris suh
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