| Cash and cash equivalents |
116.93 |
178.02 |
105.07 |
145.85 |
165.89 |
170.59 |
30.45 |
35.46 |
55.16 |
57.62 |
45.64 |
46.55 |
32.16 |
25.13 |
24.11 |
22.07 |
21.52 |
17.95 |
16.54 |
10.78 |
| Short-term investments |
39.14 |
52.47 |
11.44 |
11.13 |
28.78 |
103.29 |
111.10 |
130.60 |
146.41 |
107.57 |
88.78 |
21.57 |
79.54 |
98.58 |
93.52 |
86.69 |
84.84 |
75.12 |
35.65 |
35.39 |
| Accounts receivable, net |
46.23 |
44.62 |
54.63 |
40.33 |
45.56 |
33.95 |
20.58 |
26.94 |
29.97 |
17.44 |
22.00 |
26.03 |
16.68 |
13.51 |
12.33 |
15.64 |
12.04 |
15.92 |
12.96 |
12.44 |
| Inventories |
|
|
-598.47 |
-592.09 |
-585.03 |
-589.58 |
-382.82 |
-327.03 |
-333.92 |
-268.99 |
0.03 |
89.80 |
97.72 |
94.59 |
68.31 |
58.60 |
50.39 |
49.07 |
84.38 |
69.03 |
| Other current assets |
1.82 |
1.79 |
1.46 |
1.32 |
1.30 |
589.58 |
382.82 |
339.93 |
344.63 |
279.11 |
701.57 |
0.83 |
1.15 |
538.60 |
384.66 |
350.23 |
319.26 |
334.97 |
231.76 |
206.72 |
| Total current assets |
204.11 |
276.90 |
172.60 |
198.63 |
241.53 |
307.83 |
162.13 |
93.80 |
116.90 |
120.30 |
109.04 |
94.98 |
129.54 |
137.21 |
129.96 |
124.40 |
118.40 |
108.99 |
65.14 |
23.22 |
| Property, plant and equipment, net |
10.13 |
9.84 |
9.43 |
9.40 |
9.18 |
10.14 |
5.51 |
5.32 |
5.31 |
5.48 |
5.31 |
4.38 |
4.44 |
4.40 |
4.09 |
4.18 |
3.78 |
3.16 |
1.93 |
1.66 |
| Goodwill |
18.98 |
18.85 |
18.60 |
17.66 |
16.23 |
17.15 |
16.98 |
16.54 |
16.16 |
16.66 |
16.34 |
14.23 |
13.29 |
12.31 |
12.26 |
12.31 |
15.02 |
14.84 |
7.92 |
7.40 |
| Intangible assets |
3.41 |
3.04 |
2.77 |
2.30 |
2.12 |
2.13 |
2.50 |
2.46 |
2.62 |
2.64 |
2.67 |
2.68 |
2.49 |
2.22 |
1.84 |
1.80 |
2.55 |
3.14 |
2.10 |
1.95 |
| Long-term investments |
576.19 |
536.02 |
531.28 |
562.88 |
504.32 |
504.74 |
407.46 |
381.75 |
333.51 |
302.60 |
45.26 |
115.64 |
560.02 |
0.00 |
0.00 |
0.00 |
0.00 |
0.00 |
0.00 |
0.00 |
| Other non-current assets |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
| Total assets |
2,094.56 |
2,061.75 |
1,955.14 |
1,917.53 |
1,728.67 |
1,715.87 |
1,415.29 |
1,334.90 |
1,279.00 |
1,176.97 |
1,104.37 |
960.51 |
862.02 |
811.11 |
735.49 |
667.41 |
557.22 |
563.21 |
422.12 |
392.91 |
|
| Accounts payable |
41.04 |
39.86 |
43.61 |
32.11 |
37.21 |
35.14 |
23.75 |
28.39 |
32.85 |
17.86 |
22.66 |
22.80 |
12.85 |
10.12 |
11.51 |
12.82 |
13.11 |
12.46 |
15.00 |
11.90 |
| Short-term debt |
432.89 |
453.22 |
384.75 |
344.01 |
273.19 |
121.54 |
140.25 |
132.30 |
116.07 |
67.65 |
99.24 |
133.74 |
34.41 |
38.82 |
25.99 |
22.19 |
16.47 |
18.65 |
16.57 |
18.66 |
| Current portion of long-term debt |
211.74 |
251.32 |
254.68 |
215.98 |
129.09 |
103.18 |
100.04 |
5.11 |
5.79 |
2.35 |
20.13 |
53.28 |
31.64 |
0.00 |
0.00 |
0.00 |
0.00 |
0.00 |
0.00 |
0.00 |
| Deferred revenue |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
| Other current liabilities |
1,167.21 |
1,140.35 |
1,110.79 |
1,136.27 |
1,097.16 |
-156.68 |
-164.00 |
-166.93 |
-154.41 |
-62.28 |
-126.69 |
560.59 |
636.56 |
561.84 |
504.30 |
453.00 |
409.77 |
395.19 |
300.58 |
288.35 |
| Long-term debt |
47.27 |
204.33 |
151.70 |
53.89 |
51.60 |
16.35 |
10.73 |
8.74 |
9.53 |
10.89 |
8.64 |
6.91 |
9.20 |
13.58 |
11.50 |
12.68 |
12.83 |
11.44 |
11.54 |
7.74 |
| Capital lease obligations |
5.35 |
5.01 |
5.05 |
5.31 |
5.47 |
6.10 |
0.00 |
0.00 |
0.00 |
0.00 |
0.00 |
|
|
|
|
|
|
|
|
|
| Other non-current liabilities |
|
|
|
|
|
|
0.00 |
0.00 |
0.00 |
0.00 |
0.00 |
|
|
|
|
|
|
|
|
|
| Total liabilities |
1,966.73 |
1,946.59 |
1,843.07 |
1,806.15 |
1,628.85 |
1,620.37 |
1,327.59 |
1,254.86 |
1,203.81 |
1,102.75 |
1,037.35 |
904.28 |
810.64 |
762.11 |
691.49 |
627.54 |
518.50 |
531.54 |
400.72 |
373.28 |
|
| Common stock and paid-in capital |
49.51 |
44.33 |
39.06 |
37.69 |
35.87 |
41.65 |
38.20 |
33.90 |
34.70 |
38.76 |
34.98 |
27.10 |
25.89 |
25.76 |
24.31 |
23.60 |
20.09 |
13.82 |
5.45 |
5.91 |
| Retained earnings |
78.32 |
70.83 |
73.01 |
73.70 |
63.94 |
53.85 |
49.50 |
46.15 |
40.49 |
35.45 |
32.05 |
27.59 |
23.98 |
21.76 |
18.21 |
14.78 |
18.63 |
17.86 |
15.95 |
13.73 |
| Common shares outstanding |
1,719 |
1,760 |
1,824 |
1,814 |
1,820 |
1,809 |
1,827 |
1,840 |
1,855 |
1,857 |
1,854 |
1,845 |
1,845 |
1,830 |
1,780 |
1,744 |
1,700 |
1,551 |
1,451 |
1,446 |