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Dec-25 Dec-24 Dec-23 Dec-22 Dec-21 Dec-20 Dec-19 Dec-18 Dec-17 Dec-16 Dec-15 Dec-14 Dec-13 Dec-12 Dec-11 Dec-10 Dec-09 Dec-08 Dec-07 Dec-06
Total cash and short-term investments + 422.35 138.59 246.77 304.40 278.83 165.99 121.91 197.28 328.08 194.80 112.52 139.03 175.65 186.58 176.30 208.10 167.98 105.98 92.58 102.38
Accounts receivable, net 248.96 161.91 186.70 151.06 104.21 114.20 128.04 109.64 147.61 112.08 98.98 152.98 247.27 236.77 144.37 186.88 118.67
Inventories 66.39 51.65 52.83 50.09 37.80 33.60 37.82 46.09 82.74 48.92 44.64 53.40 105.42 54.82 50.73 66.43 50.55
Other current assets 114.27 116.25 118.98 178.82 119.28 101.75 117.61 111.55 94.61 89.39 122.86 101.78 138.11 125.06 217.22 90.94 56.83 274.29 290.22 190.33
Total current assets 851.96 468.40 605.28 684.36 540.12 415.53 405.37 464.56 653.04 445.19 379.00 447.20 666.45 601.50 588.61 552.36 394.01 380.28 382.80 292.72
Total non-current assets + 3,033.89 2,424.25 2,413.96 1,952.27 1,821.14 1,878.42 2,152.32 1,113.48 1,150.71 1,059.86 1,027.98 1,347.58 1,513.81 1,447.67 1,286.79 1,231.91 1,088.94 923.49 862.80 1,394.96
Total assets 3,885.84 2,892.65 3,019.24 2,636.63 2,361.26 2,293.95 2,557.69 1,578.04 1,803.74 1,505.05 1,406.98 1,794.78 2,180.26 2,049.16 1,875.41 1,784.27 1,482.95 1,303.76 1,245.60 1,687.68
Total current liabilities + 828.74 765.92 841.67 759.41 617.86 503.47 595.45 493.31 605.58 548.31 577.67 542.07 659.16 578.27 589.29 605.15 396.81 388.36 375.57 292.72
Total non-current liabilities + 2,270.77 1,617.30 1,660.73 1,552.79 1,522.23 1,592.47 1,540.67 691.97 702.02 605.17 542.41 795.13 825.80 724.58 606.49 629.92 632.09 474.65 462.25 135.86
Total liabilities 3,113.71 2,383.23 2,502.40 2,312.20 2,140.10 2,095.94 2,136.12 1,185.28 1,307.60 1,153.48 1,120.09 1,337.19 1,484.96 1,302.85 1,195.78 1,235.07 1,028.90 863.01 837.82 428.58
Total stockholders' equity + 770.49 508.08 515.28 323.62 220.43 197.55 421.14 392.38 495.65 350.99 286.27 456.91 694.54 745.14 678.62 547.80 452.66 440.75 407.78 1,259.10
Common shares outstanding 211 211 211 211 211 208 210 216 218 217 216 216 216 216 222 213 213 213 213 213
Show Quarterly Balance Sheet
Mar-26 Dec-25 Sep-25 Jun-25 Mar-25 Dec-24 Sep-24 Jun-24 Mar-24 Dec-23 Sep-23 Jun-23 Mar-23 Dec-22 Sep-22 Jun-22 Mar-22 Dec-21 Sep-21 Jun-21 Mar-21 Dec-20 Sep-20 Jun-20 Mar-20 Dec-19 Sep-19 Jun-19 Mar-19 Dec-18 Sep-18 Jun-18 Mar-18 Dec-17 Sep-17 Jun-17 Mar-17 Dec-16 Sep-16 Jun-16 Mar-16 Dec-15 Sep-15 Jun-15 Mar-15 Dec-14 Sep-14 Jun-14 Mar-14 Dec-13 Sep-13 Jun-13 Mar-13 Dec-12 Sep-12 Jun-12 Mar-12 Dec-11 Sep-11 Jun-11 Mar-11 Dec-10 Sep-10 Jun-10 Mar-10 Dec-09
Total cash and short-term investments + 266.17 422.35 256.87 233.86 494.79 138.59 120.81 139.36 162.47 246.77 251.15 223.95 263.83 304.40 319.09 289.42 279.75 291.25 206.90 161.87 148.29 165.99 136.51 122.10 142.07 121.91 126.70 137.24 197.28 197.28 207.55 218.94 256.82 328.08 289.35 237.80 187.73 194.80 112.21 136.79 266.14 112.52 90.48 83.18 71.89 139.03 94.79 101.03 126.44 175.65 339.30 130.15 146.60 184.85 244.14 245.35 144.25 176.30 251.13 254.40 141.23 208.10 0.00 0.00 0.00 167.98
Accounts receivable, net 159.68 248.96 149.63 201.15 190.54 161.91 177.07 182.05 190.03 186.70 165.32 156.61 144.67 151.06 115.09 110.10 113.34 104.21 96.07 107.74 92.58 114.20 93.42 87.09 76.43 128.04 88.39 99.68 109.64 109.64 97.61 101.47 119.26 147.61 110.72 96.70 101.25 112.08 106.39 100.02 92.87 98.98 92.17 130.00 107.21 148.15 159.84 173.94 204.41 247.27 227.82 234.41 222.85 236.77 183.75 174.74 83.67 160.47 128.06 131.49 74.65 186.88
Inventories 60.10 66.39 56.89 56.66 51.87 51.65 51.93 51.07 52.53 52.83 54.30 51.46 49.34 50.09 46.32 39.98 39.49 37.80 34.83 30.93 31.08 33.60 28.95 24.81 31.13 37.82 36.89 40.30 46.09 46.09 37.30 40.25 48.46 82.74 52.20 49.51 53.45 48.92 45.13 46.20 45.28 44.64 38.12 38.07 51.87 53.40 52.08 51.68 83.06 105.42 59.10 58.15 54.61 54.82 60.10 56.81 3.75 50.73 42.85 41.22 39.15 66.43 50.55
Other current assets 268.23 114.27 186.01 132.01 123.60 116.25 156.45 140.65 143.56 118.98 137.37 182.67 186.28 178.82 181.28 102.32 101.91 119.28 88.93 88.71 87.57 101.75 102.27 85.51 101.79 117.61 108.09 105.03 2.73 111.55 102.52 79.42 96.24 94.61 74.60 74.10 97.19 89.39 120.42 137.91 133.13 122.86 139.83 117.23 102.60 112.33 140.56 145.86 144.08 138.11 129.53 129.12 130.52 125.06 147.68 148.09 317.43 23.75 105.55 99.53 185.45 90.94 56.83
Total current assets 694.07 851.96 649.40 623.68 860.81 468.40 506.26 513.13 548.59 605.28 608.14 614.69 644.12 684.36 661.77 541.82 534.49 540.12 426.73 389.26 359.53 415.53 361.15 319.51 351.41 405.37 360.04 382.25 464.56 464.56 444.98 440.08 520.79 653.04 507.29 458.11 439.62 445.19 384.15 420.92 537.41 379.00 319.25 368.48 333.57 447.20 447.26 472.50 557.99 666.45 754.46 550.52 552.98 601.50 635.66 624.99 549.10 588.61 527.58 526.64 401.33 552.36
Total non-current assets + 3,124.64 3,033.89 2,916.77 2,748.74 2,606.21 2,424.25 2,454.86 2,382.89 2,424.84 2,413.96 2,238.19 2,188.04 2,057.48 1,952.27 1,787.94 1,860.87 1,947.35 1,821.14 1,821.10 1,889.74 1,813.62 1,878.42 1,787.29 1,826.87 1,865.14 2,152.32 1,952.38 2,030.26 1,113.48 1,113.48 1,080.85 1,072.52 1,148.15 1,150.71 1,138.01 1,107.64 1,092.20 1,059.86 1,057.13 1,072.64 1,058.45 1,027.98 1,090.52 1,218.19 1,221.51 1,347.58 1,401.04 1,478.62 1,503.71 1,513.81 1,458.90 1,417.04 1,469.50 1,447.67 1,340.54 1,293.76 1,341.13 1,286.79 1,245.71 1,346.55 1,258.86 1,231.91
Total assets 3,818.72 3,885.84 3,566.17 3,372.42 3,467.02 2,892.65 2,961.12 2,896.02 2,973.43 3,019.24 2,846.33 2,802.72 2,701.60 2,636.63 2,449.72 2,402.69 2,481.84 2,361.26 2,247.83 2,278.99 2,173.15 2,293.95 2,148.44 2,146.38 2,216.54 2,557.69 2,312.42 2,412.51 1,578.04 1,578.04 1,525.83 1,512.60 1,668.94 1,803.74 1,645.29 1,565.74 1,531.82 1,505.05 1,441.28 1,493.56 1,595.87 1,406.98 1,409.77 1,586.67 1,555.07 1,794.78 1,848.30 1,951.12 2,061.70 2,180.26 2,213.36 1,967.56 2,022.48 2,049.16 1,976.21 1,918.75 1,890.22 1,875.41 1,773.30 1,873.20 1,660.19 1,784.27 1,482.95
Total current liabilities + 864.46 828.74 732.76 778.58 1,001.03 765.92 803.47 816.62 827.05 841.67 784.80 775.77 757.78 759.41 684.14 628.11 635.71 617.86 498.40 473.48 447.37 503.47 465.39 592.15 557.26 595.45 495.22 521.79 493.31 493.31 419.90 418.82 491.71 605.58 510.62 465.87 691.96 548.31 456.78 502.55 591.56 577.67 580.92 451.77 425.58 542.07 556.68 595.10 619.35 659.16 588.82 603.71 596.79 578.27 551.40 532.20 558.37 589.29 499.08 536.56 503.43 605.15 396.81
Total non-current liabilities + 2,177.12 2,270.77 2,087.11 2,012.20 1,949.23 1,617.30 1,644.17 1,608.88 1,659.85 1,660.73 1,618.86 1,622.60 1,588.42 1,552.79 1,523.37 1,560.35 1,606.60 1,522.23 1,562.68 1,629.53 1,563.37 1,592.47 1,527.42 1,387.51 1,397.86 1,540.67 1,443.54 1,510.54 691.97 691.97 698.68 696.48 713.09 702.02 699.68 687.80 420.62 605.17 646.60 653.05 707.69 542.41 525.63 750.66 745.03 795.13 821.76 834.21 829.95 825.80 942.65 695.20 725.86 724.58 723.68 726.69 601.96 606.49 627.40 624.72 617.98 629.92
Total liabilities 3,041.57 3,113.71 2,819.87 2,790.78 2,950.26 2,383.23 2,447.64 2,425.50 2,486.90 2,502.40 2,403.65 2,398.38 2,346.20 2,312.20 2,207.51 2,188.45 2,242.32 2,140.10 2,061.08 2,103.01 2,010.74 2,095.94 1,992.81 1,979.65 1,955.12 2,136.12 1,938.77 2,032.33 1,185.28 1,185.28 1,118.58 1,115.30 1,204.79 1,307.60 1,210.30 1,153.67 1,112.59 1,153.48 1,103.38 1,155.60 1,299.25 1,120.09 1,106.55 1,202.43 1,170.61 1,337.19 1,378.44 1,429.32 1,449.29 1,484.96 1,531.47 1,298.90 1,322.65 1,302.85 1,275.08 1,258.90 1,160.33 1,195.78 1,126.48 1,161.28 1,121.40 1,235.07 1,028.90
Total stockholders' equity + 775.43 770.49 744.80 580.24 515.25 508.08 512.20 469.35 484.76 515.28 441.76 403.63 354.38 323.62 241.58 213.74 238.79 220.43 186.07 175.42 161.90 197.55 155.26 166.38 261.04 421.14 373.32 379.85 392.38 392.38 406.83 396.90 463.62 495.65 434.34 411.56 418.56 350.99 337.34 337.35 295.95 286.27 302.52 383.58 383.74 456.91 469.31 521.36 611.92 694.54 681.12 667.70 698.69 745.14 700.03 658.80 728.75 678.62 645.30 710.49 537.31 547.80 452.66
Common shares outstanding 211 211 211 211 211 211 211 211 211 211 211 211 211 211 211 211 211 210 210 210 211 210 209 207 208 210 210 210 212 212 214 216 218 217 217 217 218 217 217 217 216 216 216 216 216 216 216 216 216 216 216 216 216 215 215 215 216 216 215 214 241 241 249 249 249
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