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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
Total cash and short-term investments + 282.81 221.65 256.81 175.76 136.67 105.62 89.52 89.17 68.23 72.88 67.36 69.32 54.91 52.10 0.00 0.00
Accounts receivable, net 143.56 138.04 115.47 88.80 78.80 66.01 45.38 52.16 36.00 26.78 33.23 22.85 24.59 38.28
Inventories 176.89 153.74 105.83 103.58 92.81 96.83 110.50 69.32 63.61 79.75 70.67 82.33 69.92 51.38
Other current assets 32.75 20.65 11.49 10.17 9.84 11.23 9.85 9.69 19.94 4.68 5.96 24.98 24.88 25.82
Total current assets 636.02 534.07 489.60 378.32 318.12 279.68 255.24 220.34 187.78 184.10 175.93 198.00 172.97 165.69
Total non-current assets + 993.28 1,043.40 1,023.31 363.67 353.41 351.55 331.73 293.22 266.89 243.64 214.20 191.37 165.78 151.79
Total assets 1,629.30 1,577.47 1,512.91 741.99 671.53 631.24 586.97 513.56 454.67 427.74 390.14 389.37 338.75 317.48
Total current liabilities + 158.16 173.76 225.41 94.86 103.81 112.20 90.01 106.83 67.19 60.62 59.96 62.60 65.40 60.08
Total non-current liabilities + 682.34 671.41 648.08 118.47 122.20 70.31 69.43 42.37 50.14 37.87 34.67 44.92 21.80 23.96
Total liabilities 840.49 845.17 873.49 213.33 226.01 182.51 159.44 149.20 117.34 98.48 94.63 107.51 87.20 84.04
Total stockholders' equity + 788.81 732.30 639.42 528.66 445.52 402.31 381.37 332.44 337.33 329.26 295.51 281.86 251.55 233.44
Common shares outstanding 48 52 53 52 50 49 50 46 48 48 45 42 8 8 8 39
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
Total cash and short-term investments + 294.39 282.81 278.64 231.75 236.88 221.65 250.49 217.78 289.56 256.81 299.88 168.02 195.33 175.76 186.52 185.83 187.01 136.67 117.07 138.54 117.57 105.62 102.85 102.55 71.20 89.52 98.28 123.21 81.93 89.17 71.56 50.89 57.37 68.23 69.44 83.27 77.51 72.88 67.45 68.05 64.62 67.36 71.97 75.75 70.08 69.32 74.38 65.58 53.46 54.91 51.94 0.00 50.21 52.10 0.00 0.00 0.00
Accounts receivable, net 147.85 143.56 146.81 134.59 145.39 138.04 144.98 132.08 138.90 115.47 118.99 104.72 100.64 88.80 77.10 80.81 73.39 78.80 78.09 67.89 77.94 66.01 52.38 49.86 57.78 45.38 45.26 48.82 54.93 52.16 43.82 41.28 31.88 36.00 24.15 24.12 25.89 26.78 26.55 23.13 23.08 33.23 25.00 19.83 21.65 22.85 26.60 18.60 17.71 24.59 42.41 25.91
Inventories 170.19 176.89 185.93 191.73 185.48 153.74 130.32 122.41 115.49 105.83 109.98 104.62 103.65 103.58 103.25 98.73 95.15 92.81 100.24 97.93 97.11 96.83 108.87 104.73 107.90 110.50 109.85 99.23 78.58 69.32 65.41 61.68 62.78 63.61 69.64 74.46 78.14 79.75 90.65 88.33 82.24 70.67 72.42 80.17 84.89 82.33 88.05 106.02 79.05 69.92 60.07 51.38
Other current assets 21.26 32.75 28.09 22.76 20.21 20.65 20.16 10.38 11.13 11.49 14.16 7.20 8.06 10.17 17.35 11.78 8.87 9.84 8.28 6.61 7.55 11.23 12.44 9.68 9.84 9.85 15.52 12.87 14.70 9.69 14.01 16.10 22.01 19.94 13.26 11.73 9.88 4.68 5.53 3.20 4.79 5.96 30.96 29.43 27.47 24.98 27.64 25.53 28.39 24.88 32.27 38.19
Total current assets 633.68 636.02 639.47 580.83 587.96 534.07 545.95 482.65 555.08 489.60 543.01 384.55 407.67 378.32 384.22 377.15 364.42 318.12 303.67 310.97 300.16 279.68 276.54 266.82 246.72 255.24 268.90 284.13 230.14 220.34 194.80 169.95 174.05 187.78 176.49 193.58 191.42 184.10 190.19 181.31 173.44 175.93 199.06 203.90 202.60 198.00 215.18 214.23 177.29 172.97 186.69 50.21 165.69
Total non-current assets + 1,014.48 993.28 1,026.75 1,034.50 1,038.32 1,043.40 999.23 1,008.88 1,019.24 1,023.31 1,001.63 993.71 365.99 363.67 342.47 346.57 351.82 353.41 348.01 354.77 345.57 351.55 337.18 333.24 326.11 331.73 316.73 317.17 314.58 293.22 285.84 281.70 275.74 266.89 261.27 250.42 244.20 243.64 238.65 227.27 221.56 214.20 195.97 195.03 193.91 191.37 185.95 183.04 167.82 165.78 158.70 -50.21 149.72
Total assets 1,648.16 1,629.30 1,666.22 1,615.33 1,626.28 1,577.47 1,545.18 1,491.52 1,574.32 1,512.91 1,544.63 1,378.27 773.66 741.99 726.70 723.72 716.24 671.53 651.68 665.75 645.74 631.24 613.72 600.06 572.83 586.97 585.64 601.30 544.72 513.56 480.64 451.65 449.78 454.67 437.77 444.00 435.61 427.74 428.84 408.59 395.01 390.14 395.03 398.93 396.50 389.37 401.13 397.27 345.11 338.75 345.40 317.48
Total current liabilities + 164.48 158.16 205.23 176.41 199.05 173.76 159.01 136.97 255.17 225.41 257.96 251.29 105.64 94.86 102.19 103.63 114.36 103.81 97.99 124.55 127.10 112.20 96.72 93.29 83.37 90.01 86.60 101.00 111.96 106.83 96.62 87.59 72.54 67.19 57.40 63.70 72.86 60.62 60.84 65.67 64.92 59.96 70.65 69.40 72.09 62.60 63.08 56.28 72.81 65.40 78.45 60.08
Total non-current liabilities + 710.29 682.34 684.25 681.44 675.94 671.41 658.49 641.21 646.79 648.08 691.53 537.75 119.44 118.47 119.34 120.78 122.35 122.20 123.51 73.97 67.68 70.31 66.04 64.34 66.09 69.43 65.39 68.01 52.49 42.37 42.75 43.53 50.14 50.14 49.71 46.98 37.19 37.87 39.55 35.46 33.50 34.67 40.59 44.26 45.13 44.92 54.93 53.25 20.75 21.80 18.16 15.95
Total liabilities 874.77 840.49 889.48 857.85 874.99 845.17 817.50 778.18 901.96 873.49 949.49 789.03 225.08 213.33 221.53 224.41 236.71 226.01 221.50 198.52 194.78 182.51 162.76 157.62 149.46 159.44 151.98 169.01 164.45 149.20 139.37 131.12 122.68 117.34 107.11 110.68 110.05 98.48 100.38 101.12 98.42 94.63 111.24 113.66 117.22 107.51 118.01 109.53 93.57 87.20 96.61 84.04
Total stockholders' equity + 773.39 788.81 776.75 757.48 751.28 732.30 727.68 713.35 672.36 639.42 595.14 589.24 548.58 528.66 505.17 499.31 479.53 445.52 430.18 421.99 405.56 402.31 405.23 397.68 377.51 381.37 389.41 387.85 334.99 332.44 319.42 320.53 327.10 337.33 330.66 333.31 325.56 329.26 328.45 307.46 296.59 295.51 283.79 285.27 279.28 281.86 283.12 287.74 251.54 251.55 248.79 233.44 233.44
Common shares outstanding 46 47 48 48 50 52 52 52 53 53 54 53 52 52 53 53 52 50 50 50 50 47 50 47 48 47 50 50 50 49 48 47 47 49 48 48 48 46 48 46 47 45 45 45 45 45 45 40 43 8 8 8 8 8 39 39 39
4 days ago