------------------------------------------------------------------------
Cash Flows from Operations
------------------------------------------------------------------------
(Brackets denote cash outflows) Three Months Nine Months
Ended Ended
September 30, September 30,
-------------- ---------------
2007 2006 2007 2006
------ ------ ------- ------
Net income $395 $374 $1,229 $965
Adjustments
Depreciation and amortization 141 146 428 431
Deferred income taxes 14 58 32 76
Stock compensation 36 30 99 68
Restructuring and infusion pump charges -- -- 70 76
Litigation-related charge 56 -- 56 --
IPR&D charges 35 -- 46 --
Other 27 7 53 29
Changes in balance sheet items
Receivables 40 18 (114) 33
Inventories (91) (58) (261) (108)
Accounts payable and accrued
liabilities 6 (22) (85) (159)
Restructuring payments (14) (9) (20) (34)
Other (37) 29 21 44
------------------------------------------------------------------------
Cash flows from operations $608 $573 $1,554 $1,421
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