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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 + 46.85 46.99 46.81 55.50 55.76 58.37 51.72 56.90 39.46 55.95 40.11 59.88 56.86 15.33 5.46 0.00
Accounts receivable, net 47.54 60.87 56.23 79.84 20.30 17.81 30.08 28.25 27.26 23.23 26.21 5.62 1.07 1.36 2.41
Inventories 8.91 11.31 12.56 15.72 11.10 10.27 10.16 12.81 9.63 7.34 3.97 2.49 1.13 0.67 0.62
Other current assets 8.56 7.38 11.18 11.61 7.37 16.10 6.05 12.29 7.53 7.24 45.11 4.24 2.90 2.22 4.49
Total current assets 111.85 126.55 126.78 157.74 94.22 102.54 98.02 109.47 83.88 93.76 115.41 72.23 61.96 19.58 12.98
Total non-current assets + 676.87 578.25 564.17 566.12 630.32 649.46 674.42 735.29 761.66 789.88 662.79 498.62 296.01 160.38 147.65
Total assets 788.72 704.80 690.95 723.86 724.53 752.01 772.44 844.76 845.54 883.64 778.20 570.84 357.97 179.96 160.63
Total current liabilities + 25.85 29.83 33.84 52.93 58.50 62.90 60.43 75.54 58.26 59.02 69.86 31.21 17.05 11.29 39.03
Total non-current liabilities + 128.54 39.55 82.67 164.49 337.03 368.77 385.95 422.64 406.31 420.36 360.73 212.43 108.56 60.28 60.00
Total liabilities 154.39 69.38 116.51 217.42 395.54 431.67 446.38 498.18 464.57 479.37 430.59 243.64 125.61 71.57 99.03
Total stockholders' equity + 634.34 635.42 574.44 506.44 329.00 320.33 326.06 346.58 380.97 404.27 347.61 327.20 232.36 108.39 61.60
Common shares outstanding 41 42 42 38 34 33 33 33 33 30 26 25 12 8 8 8
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
Total cash and short-term investments + 47.21 46.85 47.06 49.48 47.45 46.99 47.57 47.40 48.62 46.81 50.76 51.18 52.75 55.50 57.20 45.39 53.25 55.76 54.78 55.42 50.20 58.37 58.22 72.91 64.47 51.72 46.21 54.84 52.29 56.90 33.27 47.89 35.28 39.46 45.81 54.81 45.24 55.95 52.97 103.13 47.47 40.11 43.31 41.89 22.08 59.88 66.00 65.99 128.12 128.12 76.98 9.86 6.57 15.33 0.00 0.00 4.49 5.46
Accounts receivable, net 52.78 47.54 53.57 52.79 47.74 60.87 65.08 75.17 60.34 56.23 50.79 63.06 68.94 79.84 65.47 51.92 27.62 20.30 18.52 16.63 19.49 17.81 19.73 33.25 27.71 30.08 24.84 24.40 28.36 28.25 28.83 26.01 28.22 27.26 28.78 28.03 26.82 23.23 21.49 19.89 20.25 26.19 21.86 16.44 12.71 4.99 3.73 1.47 0.54 0.54 1.06 1.07 1.72 1.36 2.57
Inventories 13.04 8.91 10.01 10.00 11.19 11.31 11.57 13.21 11.93 12.56 14.90 14.22 14.54 15.72 19.18 18.64 15.08 11.10 10.27 9.46 9.06 10.27 8.92 6.57 10.70 10.16 9.03 9.75 11.26 12.81 14.77 12.49 10.92 9.63 9.15 7.68 7.97 7.34 6.59 4.75 4.30 3.97 4.13 4.23 3.82 2.49 2.86 1.68 1.16 1.16 1.22 0.98 0.83 0.67 0.57 0.62
Other current assets 33.15 8.56 5.54 7.86 8.60 7.38 8.54 6.61 22.98 11.18 6.86 6.80 8.91 11.61 13.36 48.48 49.56 7.37 6.94 7.87 3.35 16.10 4.50 6.41 6.15 6.05 4.25 4.17 4.39 12.29 3.41 5.88 7.36 7.53 9.48 9.03 8.58 7.24 25.85 25.85 46.72 45.14 45.14 7.06 5.61 4.24 3.67 2.65 2.90 2.90 1.98 2.30 3.17 2.22 4.93 0.82
Total current assets 146.19 111.85 116.18 120.13 114.98 126.55 132.76 142.38 143.88 126.78 123.31 135.05 144.93 157.74 148.64 164.43 145.51 94.22 90.21 89.38 85.86 102.54 91.36 119.15 109.02 98.02 84.33 93.16 96.30 109.47 80.28 92.27 81.78 83.88 93.23 99.55 88.61 93.76 106.90 136.91 118.74 115.41 76.57 69.97 44.91 72.23 76.76 72.21 132.70 132.70 81.59 14.21 12.29 19.58 12.55
Total non-current assets + 643.42 676.87 683.64 583.69 575.44 578.25 590.05 599.65 560.25 564.17 563.09 561.10 563.45 566.12 571.47 568.62 576.25 630.32 638.35 643.60 641.25 649.46 670.64 661.01 669.75 674.42 682.35 690.10 713.54 735.29 757.04 762.64 770.67 761.66 768.48 776.19 781.23 789.88 773.04 667.80 656.77 662.79 674.23 635.72 588.76 498.62 480.59 425.89 374.17 374.17 282.28 224.75 202.10 160.38
Total assets 789.60 788.72 799.81 703.82 690.42 704.80 722.81 742.03 704.13 690.95 686.40 696.15 708.38 723.86 720.10 733.04 721.76 724.53 728.56 732.98 727.10 752.01 762.00 780.16 778.77 772.44 766.68 783.26 809.85 844.76 837.32 854.91 852.45 845.54 861.71 875.74 869.84 883.64 879.94 804.71 775.50 778.20 750.80 705.70 633.67 570.84 557.35 498.10 506.87 506.87 363.87 238.96 214.40 179.96 162.77 160.63
Total current liabilities + 30.03 25.85 26.02 30.94 30.86 29.83 37.18 40.68 73.75 33.84 42.58 38.61 43.82 52.93 125.84 64.86 78.41 58.50 58.92 58.11 57.48 62.90 54.91 52.01 70.11 60.43 56.34 58.43 61.93 75.54 69.44 64.98 62.54 58.26 59.55 59.90 57.90 59.02 64.38 47.40 75.83 69.86 47.10 42.65 36.94 31.21 29.30 22.43 25.75 25.75 17.59 17.86 22.47 11.29 43.86 39.03
Total non-current liabilities + 104.79 128.54 117.84 26.85 21.10 39.55 21.59 46.59 25.40 82.67 89.74 116.72 133.15 164.49 140.94 295.00 318.63 337.03 348.08 341.15 356.68 368.77 367.49 382.80 376.99 385.95 386.91 396.34 410.05 422.64 404.34 414.65 411.84 406.31 406.21 415.37 409.73 420.36 407.76 341.98 350.85 360.73 355.02 326.54 266.71 212.43 199.20 144.67 148.07 148.07 111.25 113.93 83.58 60.28
Total liabilities 134.82 154.39 143.86 57.79 51.96 69.38 58.77 87.27 99.15 116.51 132.32 155.33 176.97 217.42 266.77 359.86 397.04 395.54 406.99 399.26 414.16 431.67 422.41 434.80 447.10 446.38 443.25 454.76 471.97 498.18 473.78 479.62 474.38 464.57 465.76 475.27 467.63 479.37 472.14 389.39 426.68 430.59 402.12 369.19 303.65 243.64 228.50 167.11 173.82 173.82 128.84 131.79 106.05 71.57 102.41 99.03
Total stockholders' equity + 654.79 634.34 655.95 646.03 638.46 635.42 664.04 654.76 604.99 574.44 554.09 540.82 531.41 506.44 453.33 373.18 324.72 329.00 321.56 333.72 312.95 320.33 339.60 345.36 331.67 326.06 323.42 328.49 337.87 346.58 363.54 375.29 378.06 380.97 395.95 400.48 402.22 404.27 407.80 415.33 348.83 347.61 348.68 336.51 330.02 327.20 328.85 331.00 333.05 333.05 235.03 107.17 108.35 108.39 60.36 61.60
Common shares outstanding 41 41 41 41 41 42 42 42 42 42 42 42 42 41 40 36 34 34 34 34 33 33 33 33 33 33 33 33 33 33 33 33 32 33 34 34 34 34 34 27 26 26 26 26 26 26 26 26 20 20 15 18 8 8 8 8 8 8
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