| Cash and cash equivalents |
349.58 |
276.53 |
260.93 |
342.03 |
262.03 |
309.62 |
193.92 |
188.01 |
180.52 |
160.49 |
133.10 |
160.20 |
198.89 |
138.59 |
184.49 |
190.41 |
192.89 |
199.58 |
107.57 |
69.04 |
| Short-term investments |
325.86 |
221.49 |
245.07 |
238.75 |
279.30 |
335.08 |
280.27 |
295.25 |
298.97 |
307.64 |
306.74 |
309.52 |
296.51 |
302.20 |
265.20 |
289.06 |
239.60 |
175.19 |
193.11 |
258.12 |
| Accounts receivable, net |
62.68 |
51.12 |
54.19 |
54.55 |
54.80 |
44.81 |
39.86 |
35.45 |
38.38 |
28.89 |
27.68 |
28.42 |
25.67 |
22.49 |
30.33 |
31.21 |
36.57 |
47.94 |
65.56 |
54.27 |
| Inventories |
|
|
-1,148.51 |
-1,167.27 |
-1,030.43 |
-1,024.26 |
-761.30 |
-748.87 |
-702.58 |
-668.46 |
0.21 |
228.83 |
233.11 |
266.31 |
229.41 |
267.06 |
283.89 |
262.35 |
462.10 |
393.93 |
| Other current assets |
|
|
1,094.32 |
1,112.72 |
975.63 |
1,024.26 |
761.30 |
750.46 |
704.31 |
670.31 |
5.00 |
6.20 |
|
0.04 |
|
|
|
|
|
|
| Total current assets |
738.12 |
549.14 |
560.19 |
635.32 |
596.12 |
689.51 |
514.04 |
503.89 |
502.06 |
482.42 |
451.66 |
477.67 |
514.02 |
452.57 |
480.02 |
498.81 |
469.05 |
422.71 |
366.24 |
381.43 |
| Property, plant and equipment, net |
33.34 |
30.19 |
28.75 |
26.25 |
2.90 |
2.80 |
3.10 |
|
0.00 |
0.00 |
0.00 |
0.00 |
0.00 |
0.00 |
0.00 |
0.00 |
0.00 |
|
|
|
| Goodwill |
19.10 |
19.30 |
20.10 |
19.69 |
21.30 |
22.16 |
22.13 |
22.05 |
22.26 |
21.66 |
22.35 |
23.59 |
25.01 |
25.67 |
25.41 |
26.15 |
25.39 |
27.13 |
41.05 |
33.42 |
| Intangible assets |
4.28 |
4.49 |
4.42 |
4.43 |
4.50 |
4.75 |
4.82 |
5.22 |
5.15 |
6.68 |
5.50 |
6.41 |
7.77 |
7.64 |
9.17 |
12.06 |
15.24 |
19.82 |
22.69 |
15.90 |
| Long-term investments |
747.55 |
720.72 |
733.69 |
860.70 |
844.77 |
822.44 |
1,331.40 |
614.72 |
603.85 |
597.23 |
1,197.90 |
1,258.87 |
1,240.73 |
1,263.26 |
1,202.27 |
1,243.58 |
1,204.36 |
|
|
|
| Other non-current assets |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
| Total assets |
2,657.20 |
2,352.95 |
2,411.83 |
2,416.68 |
2,291.41 |
2,260.32 |
1,951.16 |
1,917.29 |
1,843.06 |
1,792.08 |
1,731.21 |
1,842.53 |
1,880.62 |
1,864.66 |
1,873.88 |
1,914.51 |
1,856.65 |
1,938.47 |
2,187.48 |
1,884.32 |
|
| Accounts payable |
74.84 |
66.60 |
63.54 |
69.22 |
61.43 |
50.48 |
48.60 |
64.57 |
61.34 |
57.15 |
53.72 |
52.18 |
53.71 |
57.01 |
56.70 |
51.75 |
60.85 |
70.92 |
84.95 |
85.12 |
| Short-term debt |
399.98 |
303.26 |
315.56 |
249.54 |
219.26 |
29.51 |
45.05 |
32.25 |
44.45 |
30.70 |
21.08 |
58.34 |
58.94 |
52.03 |
54.44 |
78.79 |
68.88 |
331.98 |
450.73 |
450.07 |
| Current portion of long-term debt |
51.88 |
48.51 |
37.46 |
47.10 |
27.97 |
29.51 |
45.05 |
32.35 |
44.45 |
30.70 |
428.07 |
524.72 |
|
|
|
|
|
|
|
|
| Deferred revenue |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
| Other current liabilities |
1,055.48 |
1,418.30 |
1,464.03 |
1,536.60 |
1,478.76 |
-80.00 |
-93.65 |
-96.92 |
-65.16 |
-58.51 |
-74.79 |
-109.44 |
-112.27 |
-108.32 |
-110.76 |
-130.08 |
-129.29 |
824.88 |
904.77 |
783.12 |
| Long-term debt |
315.83 |
287.30 |
286.62 |
271.61 |
254.37 |
439.71 |
368.65 |
232.00 |
236.71 |
206.18 |
318.79 |
362.12 |
329.88 |
355.01 |
449.59 |
510.24 |
501.53 |
271.12 |
326.44 |
288.49 |
| Capital lease obligations |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
| Other non-current liabilities |
|
|
|
|
74.92 |
59.98 |
57.98 |
56.15 |
58.14 |
61.63 |
60.15 |
85.08 |
59.94 |
279.05 |
267.65 |
262.37 |
234.51 |
|
|
|
| Total liabilities |
2,443.38 |
2,143.58 |
2,205.58 |
2,214.84 |
2,088.74 |
2,059.80 |
1,757.21 |
1,720.21 |
1,640.79 |
1,565.93 |
1,508.12 |
1,630.49 |
1,674.25 |
1,673.66 |
1,694.31 |
1,748.72 |
1,701.67 |
1,794.45 |
2,074.03 |
1,764.54 |
|
| Common stock and paid-in capital |
-2.84 |
2.30 |
6.55 |
6.46 |
17.02 |
31.93 |
28.58 |
45.73 |
66.55 |
79.67 |
89.25 |
93.84 |
94.97 |
93.19 |
89.05 |
86.23 |
77.53 |
55.11 |
-8.32 |
-9.48 |
| Retained earnings |
215.13 |
206.29 |
198.91 |
194.73 |
184.95 |
168.60 |
165.37 |
151.35 |
135.72 |
146.48 |
133.84 |
118.20 |
111.40 |
97.81 |
90.52 |
79.56 |
77.44 |
86.52 |
121.77 |
129.27 |
| Common shares outstanding |
1,863 |
1,901 |
1,956 |
1,964 |
2,049 |
2,099 |
2,265 |
2,495 |
2,699 |
2,888 |
3,008 |
3,037 |
3,042 |
3,016 |
2,999 |
2,968 |
1,210 |
577 |
492 |
499 |