InterDigital Announces Fourth Quarter and Full Year 2006 Financial Results

                          SUMMARY CASH FLOW
----------------------------------------------------------------------
                  For the Periods Ended December 31
                        (Dollars in thousands)
                             (unaudited)

                           For the Three Months  For the Twelve Months
                                   Ended                 Ended
                               December 31,          December 31,
                           --------------------- ---------------------
                             2006       2005       2006       2005
                           --------------------- ---------------------

Net income before income
 taxes                       $30,313     $2,457   $349,611    $20,251
Taxes paid                         -          -    (51,488)      (755)
Depreciation & amortization    5,661      5,104     21,635     21,187
Increase in deferred
 revenue                      35,626     11,500    336,650     57,605
Deferred revenue recognized  (48,178)   (21,906)  (196,294)   (65,553)
(Decrease) increase in
 operating working capital,
 deferred charges and other  (24,457)    (1,083)  (145,213)       921
Capital spending,
 technology licensing &
 patent additions            (11,335)    (5,777)   (32,717)   (22,326)
                           ---------- ---------- ---------- ----------
  FREE CASH FLOW             (12,370)    (9,705)   282,184     11,330

Net asset disposal
 (acquisition) of fixed
 asset                             -        169          -     (7,881)
Tax benefit from stock
 options                       2,296          -     20,717          -
Debt decrease                    (91)       (84)      (351)      (327)
Repurchase of common stock   (34,766)         -   (184,870)   (34,085)
Proceeds from exercise of
 stock options                 4,721      1,101     40,578      4,853
                           ---------- ---------- ---------- ----------
  NET (DECREASE) INCREASE
   IN CASH AND SHORT-TERM
   INVESTMENTS              $(40,210)   $(8,519)  $158,258   $(26,110)
                           ========== ========== ========== ==========

                       CONDENSED BALANCE SHEET
----------------------------------------------------------------------
                        (Dollars in thousands)
                             (unaudited)

                                             December 31, December 31,
                                                 2006         2005
                                             ------------ ------------
Assets
---------------------------------------------
Cash & short-term investments                   $263,966     $105,708
Accounts receivable                              131,852       19,534
Current deferred tax assets                       43,520       42,103
Other current assets                              14,464        8,370
Property & equipment and Patents (net)            87,178       70,176
Long-term deferred tax assets and non-current
 assets                                           23,096       53,646
                                             ------------ ------------
TOTAL ASSETS                                    $564,076     $299,537
                                                     ============  ============

Liabilities  and  Shareholders'  Equity
---------------------------------------------
Current  portion  of  long-term  debt                              $        369          $        350
Accounts  payable  &  accrued  liabilities                        50,150              30,129
Current  deferred  revenue                                                    70,709              20,055
Long-term  deferred  revenue                                              160,895              71,193
Long-term  debt  &  long-term  liabilities                          6,477                3,496
                                                                                          ------------  ------------
TOTAL  LIABILITIES                                                                288,600            125,223

SHAREHOLDERS'  EQUITY                                                          275,476            174,314
                                                                                          ------------  ------------

TOTAL  LIABILITIES  &  SHAREHOLDERS'  EQUITY                $564,076          $299,537
                                                                                          ============  ============
 


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