| Cash and cash equivalents |
164.26 |
182.09 |
241.58 |
241.83 |
261.04 |
156.00 |
133.00 |
130.00 |
110.05 |
121.71 |
93.44 |
57.60 |
61.13 |
72.67 |
56.01 |
39.79 |
38.29 |
15.74 |
10.28 |
6.29 |
| Short-term investments |
460.27 |
739.74 |
683.37 |
480.13 |
517.68 |
0.53 |
63.94 |
274.54 |
120.82 |
116.93 |
134.31 |
127.94 |
161.73 |
141.33 |
187.79 |
188.36 |
486.68 |
460.35 |
87.32 |
82.13 |
| Accounts receivable, net |
394.05 |
151.21 |
148.58 |
147.03 |
170.19 |
121.00 |
75.00 |
496.00 |
94.00 |
75.14 |
82.74 |
102.82 |
106.40 |
117.21 |
82.79 |
88.13 |
79.58 |
103.70 |
156.17 |
99.45 |
| Inventories |
|
|
-390.58 |
-1,190.08 |
-932.42 |
-777.89 |
-665.26 |
-698.11 |
-724.85 |
-671.85 |
293.94 |
312.25 |
339.12 |
407.01 |
364.21 |
356.95 |
342.40 |
338.33 |
452.60 |
334.56 |
| Other current assets |
|
|
1,041.80 |
859.10 |
932.42 |
777.89 |
665.26 |
355.13 |
-94.00 |
184.60 |
172.10 |
160.72 |
164.57 |
136.89 |
|
166.31 |
|
|
|
|
| Total current assets |
1,018.58 |
1,073.04 |
1,073.52 |
868.98 |
948.91 |
277.53 |
208.00 |
626.00 |
324.88 |
313.78 |
310.49 |
288.35 |
329.27 |
331.21 |
326.59 |
316.27 |
604.56 |
579.79 |
253.77 |
187.87 |
| Property, plant and equipment, net |
9.52 |
9.99 |
13.42 |
19.25 |
20.39 |
25.43 |
24.25 |
18.32 |
15.09 |
12.07 |
9.96 |
9.34 |
9.20 |
8.22 |
8.70 |
11.11 |
11.38 |
10.79 |
8.98 |
6.99 |
| Goodwill |
5.95 |
5.85 |
5.92 |
6.37 |
4.29 |
4.33 |
4.20 |
3.76 |
3.67 |
3.67 |
3.66 |
3.65 |
3.71 |
3.70 |
3.80 |
3.50 |
3.54 |
3.52 |
3.32 |
3.18 |
| Intangible assets |
0.84 |
0.85 |
1.18 |
2.01 |
0.42 |
0.63 |
0.64 |
0.32 |
0.37 |
0.43 |
0.49 |
0.52 |
0.67 |
1.40 |
1.67 |
2.03 |
1.38 |
1.53 |
1.77 |
2.50 |
| Long-term investments |
639.46 |
707.73 |
573.23 |
432.00 |
464.00 |
116.12 |
108.90 |
416.75 |
381.92 |
345.62 |
339.35 |
341.19 |
339.12 |
407.01 |
|
356.95 |
|
|
|
|
| Other non-current assets |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
| Total assets |
1,809.32 |
1,675.97 |
1,641.59 |
1,441.80 |
1,463.99 |
1,163.00 |
993.00 |
933.00 |
916.78 |
860.17 |
861.40 |
855.84 |
911.51 |
938.56 |
923.23 |
911.33 |
848.94 |
884.55 |
1,119.80 |
838.20 |
|
| Accounts payable |
231.87 |
223.26 |
230.73 |
262.05 |
251.93 |
191.00 |
175.00 |
180.00 |
178.17 |
188.46 |
210.36 |
213.57 |
204.77 |
194.49 |
198.29 |
190.50 |
185.63 |
253.84 |
318.45 |
213.18 |
| Short-term debt |
311.15 |
365.00 |
333.04 |
178.15 |
222.01 |
53.00 |
48.00 |
41.00 |
146.54 |
124.20 |
143.09 |
148.31 |
226.76 |
239.16 |
242.73 |
234.72 |
178.81 |
136.77 |
263.15 |
219.69 |
| Current portion of long-term debt |
87.77 |
90.62 |
83.15 |
61.00 |
47.00 |
0.05 |
55.61 |
50.06 |
61.82 |
52.38 |
25.37 |
25.13 |
|
|
|
|
|
|
|
|
| Deferred revenue |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
| Other current liabilities |
683.79 |
566.47 |
579.51 |
529.32 |
499.48 |
-244.00 |
-223.00 |
-221.00 |
140.01 |
126.52 |
104.59 |
86.10 |
74.02 |
86.39 |
49.68 |
41.18 |
169.87 |
205.14 |
17.57 |
11.89 |
| Long-term debt |
296.21 |
249.87 |
247.87 |
247.00 |
254.00 |
367.21 |
315.91 |
224.15 |
217.69 |
189.09 |
175.42 |
167.57 |
160.97 |
167.31 |
181.72 |
174.40 |
196.29 |
185.68 |
197.47 |
148.98 |
| Capital lease obligations |
2.17 |
2.06 |
2.23 |
2.15 |
2.29 |
2.28 |
2.39 |
|
|
|
|
|
|
|
|
|
|
|
|
|
| Other non-current liabilities |
|
|
|
454.81 |
489.27 |
392.55 |
362.51 |
425.96 |
260.49 |
242.59 |
263.00 |
280.91 |
352.94 |
593.40 |
|
582.63 |
|
|
|
|
| Total liabilities |
1,684.35 |
1,553.98 |
1,524.69 |
1,324.61 |
1,354.06 |
1,067.00 |
903.00 |
843.00 |
834.53 |
773.27 |
774.67 |
773.05 |
833.04 |
862.84 |
852.85 |
833.98 |
778.23 |
820.18 |
1,077.00 |
802.42 |
|
| Common stock and paid-in capital |
-40.32 |
-31.42 |
-26.78 |
-22.18 |
-21.89 |
-16.95 |
-16.47 |
-10.10 |
-9.28 |
-2.15 |
3.34 |
3.81 |
6.51 |
10.49 |
11.55 |
20.19 |
20.46 |
24.46 |
4.16 |
7.92 |
| Retained earnings |
165.29 |
153.41 |
143.69 |
139.37 |
131.81 |
112.95 |
106.47 |
100.10 |
91.52 |
89.04 |
83.39 |
78.98 |
71.96 |
65.22 |
58.83 |
57.16 |
50.25 |
39.91 |
38.64 |
27.87 |
| Common shares outstanding |
318 |
334 |
346 |
358 |
356 |
360 |
376 |
390 |
409 |
435 |
459 |
473 |
500 |
516 |
557 |
585 |
551 |
456 |
461 |
477 |