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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
Total cash and short-term investments + 44.27 58.32 58.62 129.78 123.30 140.38 182.70 168.70 163.52 88.90 169.56 133.75 0.00 0.00 0.00
Accounts receivable, net 63.57 178.11 162.71 109.50 254.86 242.29 214.94 222.64 198.48 139.06 51.58 56.05 71.81 84.92
Inventories 2.77 4.06 4.43 4.72 8.90 3.47 2.48 4.39 5.59 3.93 3.88 6.63 116.38 110.32
Other current assets 32.90 0.44 0.44 66.80 0.40 0.39 1.07 0.37 0.31 0.27 0.27 0.21 4.71 5.39
Total current assets 143.51 240.93 226.20 245.79 281.21 263.31 238.41 247.14 231.39 232.17 225.29 196.65 192.89 200.62
Total non-current assets + 1,113.03 1,047.03 1,090.64 1,126.19 1,199.49 1,093.18 1,155.04 1,214.98 1,283.89 1,323.06 1,065.06 899.79 848.58 634.22
Total assets 1,256.53 1,287.96 1,316.84 1,371.98 1,480.70 1,356.49 1,393.46 1,462.13 1,515.28 1,555.23 1,290.35 1,096.44 1,041.47 834.84
Total current liabilities + 51.30 55.37 56.34 66.94 106.80 39.75 38.85 48.77 40.24 37.78 57.69 31.98 149.25 160.29
Total non-current liabilities + 402.88 403.27 404.26 401.33 401.20 401.60 402.47 479.27 476.29 596.49 385.49 229.50 436.79 400.75
Total liabilities 454.18 458.64 460.59 468.27 508.00 441.35 441.32 528.04 516.53 634.27 443.18 261.49 586.04 561.03
Total stockholders' equity + 501.11 518.70 522.51 534.50 536.55 519.97 520.09 934.08 998.75 920.96 847.17 834.95 -561.30 -530.81
Common shares outstanding 35 35 35 35 35 35 34 33 28 27 27 27 25 25 25
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
Total cash and short-term investments + 44.29 44.27 37.94 36.58 49.62 58.32 60.21 66.00 55.76 58.62 65.87 59.43 104.59 129.78 19.60 18.50 19.35 123.30 214.90 239.91 204.53 140.38 214.57 195.01 185.84 182.70 183.54 158.80 361.12 168.70 168.92 172.22 159.69 163.52 136.26 104.94 122.97 88.90 75.01 151.26 178.68 169.56 154.26 137.29 144.92 133.75 89.99 0.00 55.42 0.00 0.00 0.00 0.00 0.00
Accounts receivable, net 45.08 63.57 89.20 116.66 172.59 178.11 176.94 160.70 163.47 162.71 72.89 60.10 68.65 109.50 258.94 275.73 136.14 254.86 265.44 314.16 70.64 242.29 252.62 220.75 215.85 215.53 214.43 200.76 339.62 222.64 240.05 208.09 196.99 198.48 196.07 94.09 101.93 139.06 113.84 68.74 62.11 51.58 58.51 57.96 54.98 56.05 58.11 61.26 54.99 71.81
Inventories 3.09 2.77 3.08 3.26 2.73 4.06 3.75 4.49 4.86 4.43 4.39 3.26 5.47 4.72 5.36 7.45 7.89 8.90 6.59 4.93 3.17 3.47 1.65 1.53 2.00 2.48 3.70 4.03 4.17 4.39 5.00 6.13 5.17 5.59 3.88 4.56 4.78 3.93 3.43 2.49 2.59 3.88 3.27 3.86 4.56 6.63 5.55 97.38 85.67 116.38 110.32
Other current assets 56.44 32.90 0.64 0.02 0.20 0.44 0.67 0.94 0.26 0.44 88.31 97.76 53.73 66.80 0.46 0.07 111.46 0.40 0.57 0.06 187.49 0.39 0.56 0.07 0.20 0.47 0.56 0.10 0.25 0.37 0.49 0.05 0.16 0.31 0.41 0.05 0.15 0.27 15.70 0.07 0.16 0.27 0.38 0.03 0.12 0.21 0.30 4.49 4.62 4.71 5.39
Total current assets 148.90 143.51 130.86 156.52 225.15 240.93 241.56 232.13 224.35 226.20 231.47 220.55 232.43 245.79 284.22 301.61 274.73 281.21 291.24 336.81 278.59 263.31 278.16 245.96 242.14 238.41 237.34 222.35 428.66 247.14 262.58 242.76 227.30 231.39 217.61 203.63 229.83 232.17 192.28 222.56 243.53 225.29 216.43 199.13 204.58 196.65 153.95 163.13 145.28 192.89
Total non-current assets + 1,086.80 1,113.03 1,140.76 1,150.66 1,146.20 1,047.03 1,053.13 1,056.24 1,070.73 1,090.64 1,110.04 1,115.04 1,110.25 1,126.19 1,146.94 1,160.52 1,179.64 1,199.49 1,069.32 1,064.94 1,078.55 1,093.18 1,104.12 1,123.06 1,140.89 1,155.05 1,169.72 1,188.55 1,202.61 1,214.98 1,232.42 1,249.42 1,265.31 1,283.89 1,300.09 1,318.95 1,326.97 1,323.06 1,344.38 1,329.67 1,140.55 1,065.06 1,008.76 964.29 920.38 899.79 868.33 911.92 875.12 848.58
Total assets 1,235.70 1,256.53 1,271.61 1,307.19 1,371.35 1,287.96 1,294.70 1,288.36 1,295.08 1,316.84 1,341.51 1,335.59 1,342.68 1,371.98 1,431.17 1,462.13 1,454.37 1,480.70 1,360.56 1,401.76 1,357.13 1,356.49 1,382.28 1,369.03 1,383.03 1,393.46 1,407.06 1,410.90 1,631.27 1,462.13 1,495.00 1,492.18 1,492.60 1,515.28 1,517.70 1,522.58 1,556.80 1,555.23 1,536.66 1,552.23 1,384.08 1,290.35 1,225.19 1,163.42 1,124.96 1,096.44 1,022.28 1,075.05 1,020.40 1,041.47 834.84
Total current liabilities + 40.79 51.30 55.13 72.91 164.82 55.37 53.29 49.61 43.08 56.34 75.60 66.32 51.48 66.94 77.66 92.02 454.00 106.80 54.56 48.65 42.57 39.75 41.69 31.09 30.67 38.85 40.94 36.31 47.26 48.77 66.59 47.62 37.29 40.24 44.92 36.39 46.65 37.78 47.58 170.79 73.34 57.69 56.51 54.40 34.58 31.98 34.95 143.29 123.91 149.25 160.29
Total non-current liabilities + 402.52 402.88 403.18 403.12 403.42 403.27 403.59 403.91 403.75 404.26 404.64 401.31 401.32 401.33 401.35 401.17 24.14 401.20 401.18 401.34 401.45 401.60 401.76 402.08 402.27 402.47 403.39 402.48 604.07 479.27 479.29 480.09 479.99 476.29 479.30 590.38 602.17 596.49 597.11 517.69 445.52 385.49 332.20 282.64 259.76 229.50 190.04 555.22 489.40 436.79
Total liabilities 443.31 454.18 458.30 476.02 568.25 458.64 456.88 453.52 446.83 460.59 480.24 467.63 452.80 468.27 479.00 493.19 478.13 508.00 455.74 450.00 444.03 441.35 443.45 433.17 432.94 441.32 444.33 438.79 651.33 528.04 545.87 527.71 517.28 516.53 524.22 626.77 648.82 634.27 644.68 688.48 518.85 443.18 388.71 337.04 294.34 261.49 224.99 698.51 613.31 586.04 561.03
Total stockholders' equity + 498.66 501.11 503.18 504.99 507.04 518.70 520.32 518.61 520.73 522.51 524.81 528.07 532.79 534.50 534.32 535.98 536.14 972.70 523.64 527.18 518.52 915.14 521.46 519.51 521.24 952.14 962.73 972.11 979.95 934.08 949.13 964.47 975.32 998.75 993.48 895.80 907.99 920.96 891.98 863.75 865.22 847.17 836.47 826.38 830.62 834.95 797.29 376.54 407.09 -561.30 273.81 273.81
Common shares outstanding 35 35 35 35 35 35 35 35 35 35 35 35 35 35 35 35 35 35 35 35 35 35 35 35 35 35 35 35 32 32 32 32 32 34 27 27 27 28 27 27 27 27 27 27 27 27 27 25 25 25 25 25 25
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