Sign in
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
Total cash and short-term investments + 8.30 5.12 27.33 24.77 36.96 41.03 35.67 27.82 36.88 18.61 36.84 24.20 19.86 24.14 39.43 20.15 69.07 53.55 35.52
Accounts receivable, net 97.56 87.41 88.58 86.77 72.26 83.20 87.87 81.49 79.12 80.13 72.56 60.92 44.99 30.30 34.02 37.04 32.59 29.01 31.77
Inventories 152.84 139.65 142.61 137.71 106.67 87.63 84.48 86.20 79.24 74.81 51.58 48.25 27.98 30.29 24.01 23.48 26.70 28.80 17.09
Other current assets 6.34 6.05 6.90 7.77 4.54 5.33 3.51 3.59 2.88 2.89 8.26 11.32 5.54 4.86 7.06 8.30 5.59 4.47 7.12
Total current assets 266.03 238.23 262.24 252.92 220.43 217.19 211.53 199.10 198.11 182.16 169.24 142.52 98.37 89.58 103.46 88.97 133.53 115.41 91.49
Total non-current assets + 360.67 351.76 331.18 343.97 352.05 362.02 494.17 477.10 487.06 489.74 336.26 337.92 265.97 248.79 255.56 259.07 271.09 275.85 284.16
Total assets 626.70 589.98 593.42 596.89 572.48 579.20 705.70 676.19 685.18 671.90 505.50 480.44 364.34 338.37 359.02 348.04 404.62 391.26 375.65
Total current liabilities + 95.85 70.19 118.52 100.43 81.92 66.21 78.10 79.07 80.78 51.39 41.73 45.69 36.10 16.67 32.61 15.98 25.19 23.86 19.01
Total non-current liabilities + 249.41 255.58 243.34 259.36 275.95 312.79 314.43 314.37 347.72 400.04 263.27 261.46 172.92 167.97 163.02 162.57 271.21 269.35 264.69
Total liabilities 345.26 325.77 361.85 359.79 357.87 379.00 392.53 393.44 428.50 451.44 305.01 307.15 209.02 184.64 195.63 178.55 296.40 293.21 283.71
Total stockholders' equity + 281.45 264.22 231.57 237.10 214.61 200.20 313.16 282.76 256.68 220.46 200.50 173.29 155.32 153.73 163.39 169.49 108.22 98.06 91.94
Common shares outstanding 24 24 23 23 23 23 23 23 23 22 22 22 22 22 22 19 15 15 14
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 Sep-09 Jun-09 Mar-09 Dec-08 Dec-07
Total cash and short-term investments + 5,189.00 8.30 11.52 7.98 7.21 5.12 8.41 6.96 5.03 27.33 15.46 8.09 6.84 24.77 5.95 6.04 8.21 36.96 7.34 15.18 35.52 41.03 14.29 34.93 27.14 35.67 4.87 5.01 0.35 27.82 0.00 0.00 12.94 36.88 1.48 4.29 7.95 18.61 0.30 48.67 48.39 36.84 3.87 12.35 20.80 24.20 4.29 7.07 10.55 19.86 3.98 2.08 11.07 24.14 1.84 3.79 14.21 39.43 3.08 0.17 19.53 20.15 8.72 9.98 69.38 69.07 17.21 0.00 0.00 53.55 0.00
Accounts receivable, net 67.70 97.56 173.46 141.17 69.22 87.41 153.10 141.12 64.80 88.58 165.30 139.35 51.63 86.77 165.27 127.89 44.53 72.26 126.69 92.44 45.15 83.20 124.63 76.93 49.07 87.87 153.40 114.70 57.32 81.49 128.16 95.04 41.13 79.12 117.54 81.09 47.28 80.13 120.23 66.62 28.97 67.71 118.54 61.61 23.91 60.92 96.57 51.30 13.49 42.34 71.27 43.99 19.52 30.30 70.68 50.61 7.62 34.02 83.01 56.38 8.97 37.04 82.40 58.65 9.60 32.17 82.37 28.59
Inventories 185,775.00 152.84 158.48 173.50 192.65 139.65 148.82 143.16 177.90 142.61 151.71 154.18 185.80 137.71 134.36 132.57 145.31 106.67 108.05 100.95 111.99 87.63 105.03 106.44 121.14 84.48 110.12 103.61 118.61 86.20 98.94 88.29 99.48 79.24 83.48 94.63 105.30 74.81 78.34 60.30 73.73 51.58 55.25 63.79 70.95 48.25 36.42 38.58 46.88 27.98 35.96 42.41 45.10 30.29 30.38 32.83 46.74 24.01 27.07 30.91 40.13 23.48 24.48 25.62 39.27 26.70 26.85 28.80 17.09
Other current assets 76,705.30 6.34 5.08 4.10 5.18 6.05 5.74 5.34 6.54 6.90 9.03 7.68 7.28 7.77 7.49 4.01 4.83 4.54 5.55 4.52 5.21 5.33 4.74 4.71 5.17 3.51 4.16 3.68 3.72 3.59 3.56 2.93 3.16 2.88 3.42 2.83 3.51 11.50 10.59 7.85 8.89 13.11 7.93 6.95 11.11 9.16 5.68 5.08 8.93 8.19 9.53 4.77 5.07 4.86 7.66 6.15 9.84 6.01 5.90 8.09 9.19 8.30 11.66 12.32 10.81 5.59 6.51 4.47 7.12
Total current assets 267,737.00 266.03 348.54 326.75 274.25 238.23 316.07 293.81 251.22 262.24 337.13 304.59 247.61 252.92 309.96 270.51 202.88 220.43 247.63 213.08 197.87 217.19 248.68 223.02 202.52 211.53 272.55 227.00 180.00 199.10 232.14 186.26 156.71 198.11 205.92 182.84 164.04 182.16 209.47 183.43 159.97 169.24 185.59 144.70 126.77 142.52 142.96 102.03 79.85 98.37 120.74 93.25 80.76 89.58 110.56 93.38 78.41 103.46 119.06 95.54 77.83 88.97 127.25 106.57 129.06 133.53 132.95 115.41
Total non-current assets + 362,554.00 360.67 346.40 344.72 346.79 351.76 349.52 323.16 325.86 331.18 334.82 336.61 337.68 343.97 344.82 342.97 347.58 352.05 352.61 355.84 358.74 362.02 362.58 361.87 490.01 494.17 494.36 496.87 496.02 477.10 480.60 482.43 483.93 487.06 488.15 490.67 487.18 489.74 490.60 333.33 332.77 336.26 336.25 336.14 336.89 337.92 261.43 263.21 265.38 265.97 267.59 269.66 247.37 248.79 250.42 252.48 254.24 255.56 256.84 258.54 257.12 259.07 261.61 264.20 268.47 271.09 271.47 275.85
Total assets 630,291.00 626.70 694.94 671.47 621.04 589.98 665.59 616.97 577.08 593.42 671.95 641.20 585.29 596.89 654.79 613.48 550.46 572.48 600.23 568.92 556.60 579.20 611.26 584.89 692.54 705.70 766.91 723.88 676.02 676.19 712.74 668.69 640.64 685.18 694.07 673.51 651.21 671.90 700.06 516.75 492.74 505.50 521.84 480.84 463.67 480.44 404.39 365.25 345.23 364.34 388.33 362.91 328.13 338.37 360.98 345.86 332.65 359.02 375.89 354.09 334.94 348.04 388.87 370.77 397.52 404.62 404.42 391.26 375.65
Total current liabilities + 100,913.00 95.85 173.69 154.67 115.78 70.19 147.51 145.04 122.13 118.52 187.74 151.04 114.41 100.43 161.79 128.69 73.55 81.92 110.19 75.48 69.64 66.21 78.04 57.31 83.84 78.10 127.09 89.94 64.32 79.07 93.88 49.45 40.94 80.78 69.41 57.39 44.02 51.39 89.63 40.30 28.79 41.73 70.04 39.85 32.56 45.69 60.44 28.44 18.12 36.10 68.40 44.73 12.18 16.67 37.14 20.55 12.85 32.61 43.33 23.05 15.20 15.98 56.92 39.51 22.72 25.19 31.07 23.86 19.01
Total non-current liabilities + 249,944.00 249.41 245.92 243.54 246.37 255.58 257.32 235.27 237.79 243.34 247.28 252.00 254.48 259.36 262.56 265.14 269.82 275.95 279.82 284.20 290.33 312.79 345.38 343.16 315.66 314.43 339.82 339.51 335.55 314.37 344.15 349.16 348.39 347.72 398.07 394.08 394.92 400.04 396.37 265.20 263.40 263.27 262.52 262.08 262.02 261.46 174.29 173.58 174.14 172.92 174.54 169.52 169.43 167.97 165.31 165.41 164.87 163.02 168.87 167.05 162.58 162.57 163.45 162.25 272.30 271.21 272.85 269.35
Total liabilities 350,857.00 345.26 419.61 398.21 362.16 325.77 404.83 380.31 359.92 361.85 435.01 403.04 368.89 359.79 424.35 393.83 343.37 357.87 390.01 359.68 359.98 379.00 423.41 400.47 399.50 392.53 466.91 429.45 399.87 393.44 438.03 398.60 389.34 428.50 467.48 451.47 438.94 451.44 485.99 305.50 292.19 305.01 332.55 301.93 294.58 307.15 234.74 202.02 192.26 209.02 242.95 214.25 181.61 184.64 202.45 185.96 177.72 195.63 212.20 190.10 177.78 178.55 220.37 201.76 295.02 296.40 303.93 293.21
Total stockholders' equity + 279,434.00 281.45 275.33 273.26 258.89 264.22 260.76 236.66 217.16 231.57 236.93 238.16 216.40 237.10 230.44 219.66 207.09 214.61 210.23 209.24 196.63 200.20 187.85 184.42 293.04 313.16 300.00 294.43 276.15 282.76 274.71 270.08 251.30 256.68 226.59 222.04 212.27 220.46 214.07 211.25 200.55 200.50 189.29 178.91 169.08 173.29 169.65 163.23 152.97 155.32 145.38 148.66 146.52 153.73 158.52 159.90 154.93 163.39 163.70 163.99 157.16 169.49 168.50 169.01 102.50 108.22 100.49 98.06
Common shares outstanding 24 24 24 24 23 24 24 23 23 23 23 23 23 23 23 23 23 23 23 23 23 23 23 23 23 23 23 23 23 23 23 23 23 23 23 23 23 23 23 23 22 22 22 22 22 22 22 22 22 22 22 22 22 22 22 22 22 22 22 22 21 21 22 19 14 14 15 15 14 14
5 days ago