day ×
day ×
% ×
% ×
% ×
% ×
% ×
% ×
% ×
% ×
% ×
% ×
% ×
% ×
% ×
day ×
% ×
% ×
% ×
% ×
% ×
% ×
% ×
% ×
% ×
% ×
% ×
% ×

Quarterly EPS estimates

Profit margin

Debt to assets

Cash flow

(in millions CAD) 30 Jun 2024 31 Mar 2024
Current assets
Cash CAD$34.2 CAD$31.06
Short term investments
Net receivables CAD$25.19 CAD$25.66
Inventory CAD$107.24 CAD$93.4
Other current assets CAD$0.708
Total current assets CAD$184.36 CAD$169.47
Long term investments CAD$2.15 CAD$2.13
Property, plant & equipment CAD$343.36 CAD$344.27
Goodwill CAD$336.2 CAD$336.2
Intangible assets CAD$232.96 CAD$229.13
Other assets CAD$1.96 CAD$1.95
Deferred long term asset charges
Total assets CAD$1,130.87 CAD$1,110.65
Current liabilities
Accounts payable CAD$107.87 CAD$98.21
Short long term debt CAD$39.28 CAD$38.96
Other current liabilities CAD$28.03 CAD$35.3
Total current liabilities CAD$175.18 CAD$172.47
Long term debt CAD$463.23 CAD$463.02
Other liabilities CAD$3.69 CAD$1.21
Deferred long term liabilities
Minority interest CAD$5.4
Total liabilities CAD$667.08 CAD$667.38
Stockholders' equity
Stock option warrants
Common stock CAD$610.18 CAD$609.84
Retained earnings CAD$116.34 CAD$103.36
Treasury stock -CAD$11.36
Capital surplus
Other stockholder equity -CAD$276.15 -CAD$270.77
Total stockholder equity CAD$463.79 CAD$443.27
Net tangible assets
(in millions CAD) 2022 2021 2020
Current assets
Cash CAD$78.32 CAD$73.1 CAD$38.32
Short term investments
Net receivables CAD$14.3 CAD$16.68 CAD$9.67
Inventory CAD$98.69 CAD$91.54 CAD$68.72
Other current assets CAD$0.638 CAD$3.49
Total current assets CAD$201.63 CAD$154.59 CAD$123.31
Long term investments
Property, plant & equipment CAD$326.82 CAD$344.77 CAD$326.38
Goodwill CAD$316.78 CAD$318.37 CAD$300.88
Intangible assets CAD$165.86 CAD$147.43
Other assets CAD$1.61 CAD$0.492 CAD$4.34
Deferred long term asset charges
Total assets CAD$1,021.72 CAD$988.04 CAD$902.35
Current liabilities
Accounts payable CAD$62.21 CAD$51.41
Short long term debt CAD$37.91 CAD$35.67
Other current liabilities CAD$34.83 CAD$58.16
Total current liabilities CAD$179.23 CAD$178.56
Long term debt CAD$374.25 CAD$346.23 CAD$345.57
Other liabilities CAD$2.09 CAD$21.91 CAD$0.87
Deferred long term liabilities
Minority interest CAD$7.28 CAD$5.78
Total liabilities CAD$578.07 CAD$543.81
Stockholders' equity
Stock option warrants
Common stock CAD$610.37 CAD$626.74 CAD$621.41
Retained earnings CAD$84.38 CAD$41.22 CAD$4.33
Treasury stock -CAD$20.66
Capital surplus
Other stockholder equity -CAD$268.9 -CAD$270.38 -CAD$276.16
Total stockholder equity CAD$420.08 CAD$404.19 CAD$358.54
Net tangible assets

Income statement

(in millions CAD) 30 Jun 2024 31 Mar 2024
Revenue
Total revenue CAD$232.49 CAD$209.72
Cost of revenue CAD$143.95 CAD$136.8
Gross profit CAD$88.54 CAD$72.91
Operating activities
Research & development
Selling, general & administrative CAD$50.32 CAD$45.48
Non-recurring
Other operating expenses CAD$16.63 CAD$15.18
Total operating expenses CAD$201.27 CAD$189.58
Operating income CAD$31.22 CAD$20.13
Income from continuing operations
Net other income CAD$16.63 CAD$15.18
EBIT
Interest expense -CAD$9.63 -CAD$7.88
Income before tax CAD$22.1 CAD$12.38
Income tax expense CAD$6.26 CAD$3.44
Minority interest CAD$5.4
Net income from continuing ops
Non-recurring events
Discontinued operations
Extraordinary items
Effect of accounting change
Other items CAD$9.12 CAD$7.76
Net income
Net income CAD$15.84 CAD$8.74
Income (for common shares) CAD$15.84 CAD$8.74
(in millions CAD) 2022 2021 2020
Revenue
Total revenue CAD$928.66 CAD$920.19 CAD$757.7
Cost of revenue CAD$603.15 CAD$526.63
Gross profit CAD$367.98 CAD$342.36 CAD$231.07
Operating activities
Research & development
Selling, general & administrative CAD$200.04 CAD$183.6 CAD$123.66
Non-recurring
Other operating expenses CAD$36.2 CAD$34.54
Total operating expenses CAD$783.8 CAD$781.37 CAD$648.13
Operating income CAD$144.86 CAD$138.82 CAD$109.57
Income from continuing operations
Net other income CAD$36.2 CAD$34.54
EBIT
Interest expense -CAD$13.12 -CAD$15.04
Income before tax CAD$146.04 CAD$121.84 CAD$84.01
Income tax expense CAD$32.86 CAD$20.7
Minority interest CAD$7.28 CAD$5.78
Net income from continuing ops
Non-recurring events
Discontinued operations
Extraordinary items
Effect of accounting change
Other items -CAD$1.18 -CAD$1.79 -CAD$8
Net income
Net income CAD$110.7 CAD$88.98 CAD$63.31
Income (for common shares) CAD$110.7 CAD$88.6 CAD$63.31
(in millions CAD) 30 Jun 2024 31 Mar 2024
Net income CAD$15.84 CAD$8.74
Operating activities
Depreciation CAD$15.13 CAD$15.33
Net income adjustments
Change in accounts receivable
Changes in liabilities
Changes in inventory
Changes in other operating activities
Total cash flows from operations CAD$43.55 CAD$1.64
Investing activities
Capital expenditures -CAD$5.45 -CAD$2
Investments
Other cash flows from investing -CAD$9.17 -CAD$0.935
Total cash flows from investing -CAD$14.62 -CAD$2.94
Financing activities
Dividends paid -CAD$8.17 -CAD$7.95
Sale and purchase of stock CAD$0.024 CAD$4.1
Net borrowings -CAD$9.74 CAD$5.92
Other cash flows from financing -CAD$7.92 -CAD$7.12
Total cash flows from financing -CAD$25.81 -CAD$5.04
Effect of exchange rate
Change in cash and equivalents CAD$3.14 -CAD$6.31
(in millions CAD) 2022 2021 2020
Net income CAD$110.7 CAD$88.98 CAD$63.31
Operating activities
Depreciation CAD$56.58 CAD$55.88 CAD$51.88
Net income adjustments
Change in accounts receivable
Changes in liabilities
Changes in inventory
Changes in other operating activities
Total cash flows from operations CAD$156.14 CAD$173.7
Investing activities
Capital expenditures -CAD$7.5 -CAD$19.12 -CAD$17.66
Investments
Other cash flows from investing -CAD$10.72 -CAD$43.98
Total cash flows from investing -CAD$63.11 -CAD$17.66
Financing activities
Dividends paid -CAD$28.7 -CAD$13.63
Sale and purchase of stock -CAD$54.92 CAD$3.27
Net borrowings -CAD$1.72 -CAD$52.81 -CAD$130.37
Other cash flows from financing -CAD$16 -CAD$16.57 -CAD$17.77
Total cash flows from financing -CAD$103.04 -CAD$94.81 -CAD$161.77
Effect of exchange rate
Change in cash and equivalents CAD$41.77 -CAD$1.77 -CAD$5.72

Quarterly EPS estimates

Profit margin

Debt to assets

Cash flow

(in millions USD) 30 Jun 2024 31 Mar 2024 31 Dec 2023 30 Sep 2023
Current assets
Cash $31.305 $33.27 $44.988 $42.926
Short term investments $9.924
Net receivables $23.594 $25.439 $26.838 $33.288
Inventory $15.39 $15.476 $13.106 $14.186
Total current assets $74.115 $77.989 $87.855 $102.923
Long term investments
Property, plant & equipment $15.224 $15.628 $16.216 $16.273
Goodwill & intangible assets $28.106 $28.333 $28.559 $28.788
Total noncurrent assets $47.8 $48.236 $49.049 $48.506
Total investments $9.924
Total assets $121.915 $126.225 $136.904 $151.429
Current liabilities
Accounts payable $7.882 $10.325 $8.433 $8.05
Deferred revenue
Short long term debt $4.112 $4.064 $3.925 $3.282
Total current liabilities $18.238 $21.755 $18.532 $19.843
Long term debt $70.861 $71.37 $72.243 $73.004
Total noncurrent liabilities $70.861 $71.37 $72.243 $73.004
Total debt $74.973 $75.434 $76.168 $76.286
Total liabilities $89.099 $93.125 $90.775 $92.847
Stockholders' equity
Retained earnings $28.007 $26.79 $26.78 $25.565
Other stockholder equity
Total stockholder equity $32.816 $33.1 $46.129 $58.582
(in millions USD) 2023 2022 2021
Current assets
Cash $44.988 $20.735 $43.197
Short term investments
Net receivables $26.838 $35.063 $28.632
Inventory $13.106 $13.484 $10.756
Total current assets $87.855 $69.559 $82.689
Long term investments
Property, plant & equipment $16.216 $15.286 $18.913
Goodwill & intangible assets $28.559 $29.468 $30.376
Total noncurrent assets $49.049 $46.907 $50.585
Total investments
Total assets $136.904 $116.466 $133.274
Current liabilities
Accounts payable $8.433 $5.617 $8.368
Deferred revenue
Short long term debt $3.925 $7.937 $8.31
Total current liabilities $18.532 $21.086 $22.871
Long term debt $72.243 $19.022 $26.778
Total noncurrent liabilities $72.243 $29.022 $36.478
Total debt $76.168 $26.959 $35.088
Total liabilities $90.775 $50.108 $59.349
Stockholders' equity
Retained earnings $26.78 $17.048
Other stockholder equity
Total stockholder equity $46.129 $66.358 $73.925

Income statement

(in millions USD) 30 Jun 2024 31 Mar 2024 31 Dec 2023 30 Sep 2023
Revenue
Total revenue $49.883 $46.531 $47.285 $49.915
Cost of revenue $9.971 $9.298 $10.272 $9.553
Gross profit $39.912 $37.233 $37.013 $40.362
Operating activities
Research & development
Selling, general & administrative $37.686 $36.708 $34.715 $34.877
Total operating expenses $37.686 $36.708 $34.715 $34.877
Operating income $2.226 $0.525 $2.298 $5.485
Income from continuing operations
EBIT $2.245 $0.525 $2.297 $5.277
Income tax expense $0.398 $0.003 $0.716 $1.356
Interest expense $0.63 $0.512 $0.366 $0.327
Net income
Net income $1.217 $0.01 $1.215 $3.594
Income (for common shares) $1.217 $0.01 $1.215 $3.594
(in millions USD) 2023 2022 2021
Revenue
Total revenue $184.322 $158.167 $130.301
Cost of revenue $38.366 $32.005 $27.321
Gross profit $145.956 $126.162 $102.98
Operating activities
Research & development
Selling, general & administrative $135.176 $103.224 $80.614
Total operating expenses $135.176 $103.224 $80.614
Operating income $10.78 $22.938 $22.366
Income from continuing operations
EBIT $13.673 $22.638 $22.366
Income tax expense $2.847 $5.15 $5.168
Interest expense $1.094 $0.44 $0.095
Net income
Net income $9.732 $17.048 $17.103
Income (for common shares) $9.732 $17.048 $17.103
(in millions USD) 30 Jun 2024 31 Mar 2024 31 Dec 2023 30 Sep 2023
Net income $1.217 $0.01 $1.215 $3.594
Operating activities
Depreciation $0.878 $0.912 $1.494 $1.857
Business acquisitions & disposals
Stock-based compensation $0.841 $0.734 $0.675 $0.654
Total cash flows from operations $1.134 $2.068 $6.188 $8.893
Investing activities
Capital expenditures -$0.137 -$0.153 -$0.576 -$0.196
Investments $10 -$9.81
Total cash flows from investing -$0.137 -$0.153 $9.424 -$10.006
Financing activities
Dividends paid -$0.003 -$0.002
Sale and purchase of stock -$2.345 -$13.267 -$13.469 -$14.933
Net borrowings -$0.025 -$0.123 -$0.033 -$0.041
Total cash flows from financing -$2.962 -$13.633 -$13.55 -$15.119
Effect of exchange rate
Change in cash and equivalents -$1.965 -$11.718 $2.062 -$16.232
(in millions USD) 2023 2022 2021
Net income $9.732 $17.048 $17.103
Operating activities
Depreciation $5.124 $3.927 $3.684
Business acquisitions & disposals -$15.997
Stock-based compensation $2.296 $2.342 $1.63
Total cash flows from operations $17.756 $13.746 $6.949
Investing activities
Capital expenditures -$1.156 -$0.418 -$0.609
Investments $0.19
Total cash flows from investing -$0.966 -$0.418 -$16.606
Financing activities
Dividends paid -$0.003 -$3.613 -$0.001
Sale and purchase of stock -$37.838 -$26.38 -$2.506
Net borrowings $46.223 -$5.451 $15.839
Total cash flows from financing $7.645 -$35.796 $13.096
Effect of exchange rate
Change in cash and equivalents $24.435 -$22.468 $3.439

Quarterly EPS estimates

Profit margin

Debt to assets

Cash flow

(in millions USD) 29 Sep 2022 29 Jun 2022 30 Mar 2022 30 Dec 2021
Current assets
Cash $23.532 $26.877 $39.247 $42.612
Short term investments
Net receivables $28.35 $27.824 $27.845 $28.632
Inventory $14.366 $14.572 $13.484 $10.756
Other current assets
Total current assets $67.382 $70.63 $82.176 $82.689
Long term investments
Property, plant & equipment $16.282 $17.325 $18.197 $18.913
Goodwill $20.401 $20.401 $20.401 $20.401
Intangible assets $9.296 $9.525 $9.751 $9.975
Other assets $2.074 $1.694 $1.516 $1.296
Deferred long term asset charges $1.483 $1.103 $0.931 $0.711
Total assets $115.435 $119.575 $132.041 $133.274
Current liabilities
Accounts payable $5.139 $5.236 $6.541 $4.739
Short long term debt $5.333 $5.333 $5.333 $5.333
Other current liabilities $0.932 $0.176 $3.132 $5.925
Total current liabilities $19.77 $18.823 $22.368 $22.871
Long term debt $6.621 $7.949 $9.277 $10.605
Other liabilities $9.7 $9.6 $9.5 $9.7
Deferred long term liabilities
Minority interest
Total liabilities $50.248 $50.566 $56.223 $59.349
Stockholders' equity
Stock option warrants
Common stock $0.039 $0.04 $0.041 $0.041
Retained earnings $9.596 $4.723 $1.377
Treasury stock -$26.321 -$17.166 -$6.513 -$6.513
Capital surplus $81.873 $81.412 $80.913 $80.397
Other stockholder equity
Total stockholder equity $65.187 $69.009 $75.818 $73.925
Net tangible assets $35.49 $39.083 $45.666 $43.549
(in millions USD) 2021 2020 2019
Current assets
Cash $42.612 $39.173 $14.04
Short term investments
Net receivables $28.632 $13.837 $5.833
Inventory $10.756 $8.635 $2.378
Other current assets
Total current assets $82.689 $63.023 $22.566
Long term investments
Property, plant & equipment $18.913 $8.239 $4.869
Goodwill $20.401
Intangible assets $9.975
Other assets $1.296 $0.913 $0.842
Deferred long term asset charges $0.711 $0.566 $0.513
Total assets $133.274 $72.175 $28.277
Current liabilities
Accounts payable $4.739 $4.709 $2.141
Short long term debt $5.333
Other current liabilities $5.925 $0.288 $0.052
Total current liabilities $22.871 $10.117 $5.197
Long term debt $10.605
Other liabilities $9.7
Deferred long term liabilities
Minority interest -$0.089
Total liabilities $59.349 $15.32 $8.624
Stockholders' equity
Stock option warrants
Common stock $0.041 $0.036 $0.034
Retained earnings $23.43 $14.356
Treasury stock -$6.513 -$3.846 -$3.846
Capital surplus $80.397 $37.235 $9.198
Other stockholder equity
Total stockholder equity $73.925 $56.855 $19.742
Net tangible assets $43.549 $56.855 $19.742

Income statement

(in millions USD) 29 Sep 2022 29 Jun 2022 30 Mar 2022 30 Dec 2021
Revenue
Total revenue $41.52 $36.759 $31.083 $40.366
Cost of revenue $8.391 $7.205 $6.821 $6.932
Gross profit $33.129 $29.554 $24.262 $33.434
Operating activities
Research & development
Selling, general & administrative $26.571 $25.19 $22.356 $21.848
Non-recurring
Other operating expenses
Total operating expenses $34.962 $32.395 $29.177 $28.78
Operating income $6.558 $4.364 $1.906 $11.586
Income from continuing operations
Net other income -$0.206 -$0.215 $0.076 -$0.023
EBIT $6.558 $4.364 $1.906 $11.586
Interest expense -$0.106 -$0.115 -$0.124 -$0.023
Income before tax $6.352 $4.149 $1.982 $11.563
Income tax expense $1.479 $0.803 $0.605 $2.669
Minority interest
Net income from continuing ops $4.873 $3.346 $1.377 $8.894
Non-recurring events
Discontinued operations
Extraordinary items
Effect of accounting change
Other items
Net income
Net income $4.873 $3.346 $1.377 $8.894
Income (for common shares) $4.873 $3.346 $1.377 $8.894
(in millions USD) 2021 2020 2019
Revenue
Total revenue $130.301 $80.122 $45.472
Cost of revenue $26.922 $17.209 $8.693
Gross profit $103.379 $62.913 $36.779
Operating activities
Research & development
Selling, general & administrative $81.013 $52.664 $25.713
Non-recurring
Other operating expenses
Total operating expenses $107.935 $69.873 $34.406
Operating income $22.366 $10.249 $11.066
Income from continuing operations
Net other income -$0.095 -$0.096 $0.875
EBIT $22.366 $10.249 $11.066
Interest expense -$0.095 -$0.019 -$0.005
Income before tax $22.271 $10.153 $11.941
Income tax expense $5.168 $1.079 $2.449
Minority interest -$0.089
Net income from continuing ops $17.103 $9.074 $9.492
Non-recurring events
Discontinued operations
Extraordinary items
Effect of accounting change
Other items
Net income
Net income $17.103 $9.074 $9.492
Income (for common shares) $17.103 $9.074 $9.492
(in millions USD) 29 Sep 2022 29 Jun 2022 30 Mar 2022 30 Dec 2021
Net income $4.873 $3.346 $1.377 $8.894
Operating activities
Depreciation $0.799 $0.757 $0.729 $0.597
Net income adjustments $0.855 $0.603 $0.257 $0.721
Change in accounts receivable -$0.526 $0.021 $0.787 -$4.384
Changes in liabilities $1.384 -$3.603 $2.583 $3.173
Changes in inventory -$0.197 -$1.537 -$3.067 -$1.878
Changes in other operating activities $0.223 $0.237 -$0.912 $0.415
Total cash flows from operations $7.411 -$0.176 $1.754 $7.538
Investing activities
Capital expenditures -$0.12 -$0.14 -$0.072 -$0.189
Investments
Other cash flows from investing
Total cash flows from investing -$0.12 -$0.14 -$0.072 -$16.186
Financing activities
Dividends paid -$3.613 -$0.001
Sale and purchase of stock
Net borrowings -$1.362 -$1.364 -$1.361 $15.928
Other cash flows from financing -$0.016
Total cash flows from financing -$10.636 -$12.054 -$5.047 $15.892
Effect of exchange rate
Change in cash and equivalents -$3.345 -$12.37 -$3.365 $7.244
(in millions USD) 2021 2020 2019
Net income $17.103 $9.074 $9.492
Operating activities
Depreciation $2.286 $1.572 $0.778
Net income adjustments $2.775 $2.391 $1.217
Change in accounts receivable -$14.781 -$8.004 -$3.042
Changes in liabilities $2.889 $3.773 $0.785
Changes in inventory -$3.776 -$7.323 -$2.36
Changes in other operating activities $0.453 -$0.665 -$0.567
Total cash flows from operations $6.949 $0.818 $6.303
Investing activities
Capital expenditures -$0.609 -$0.985 -$0.16
Investments
Other cash flows from investing
Total cash flows from investing -$16.606 -$0.985 -$0.16
Financing activities
Dividends paid -$0.001 -$0.001 -$2.262
Sale and purchase of stock
Net borrowings $15.855 -$0.057 -$0.019
Other cash flows from financing -$0.016 -$0.016 -$0.016
Total cash flows from financing $13.096 $25.3 -$2.231
Effect of exchange rate
Change in cash and equivalents $3.439 $25.133 $3.912

Quarterly EPS estimates

Profit margin

Debt to assets

Cash flow

(in millions USD) 29 Jun 2022 30 Mar 2022 30 Dec 2021 29 Sep 2021
Current assets
Cash $26.877 $39.247 $42.612 $35.368
Short term investments
Net receivables $27.824 $27.845 $28.632 $24.234
Inventory $14.572 $13.484 $10.756 $9.154
Other current assets
Total current assets $70.63 $82.176 $82.689 $69.858
Long term investments
Property, plant & equipment $17.325 $18.197 $18.913 $19.905
Goodwill $20.401 $20.401 $20.401
Intangible assets $9.525 $9.751 $9.975
Other assets $1.694 $1.516 $1.296 $0.96
Deferred long term asset charges $1.103 $0.931 $0.711 $0.376
Total assets $119.575 $132.041 $133.274 $90.723
Current liabilities
Accounts payable $5.236 $6.541 $4.739 $2.669
Short long term debt $5.333 $5.333 $5.333
Other current liabilities $0.176 $3.132 $5.925 $1.577
Total current liabilities $18.823 $22.368 $22.871 $10.292
Long term debt $7.949 $9.277 $10.605
Other liabilities $9.6 $9.5 $9.7
Deferred long term liabilities
Minority interest
Total liabilities $50.566 $56.223 $59.349 $27.34
Stockholders' equity
Stock option warrants
Common stock $0.04 $0.041 $0.041 $0.037
Retained earnings $4.723 $1.377 $31.639
Treasury stock -$17.166 -$6.513 -$6.513 -$6.513
Capital surplus $81.412 $80.913 $80.397 $38.22
Other stockholder equity
Total stockholder equity $69.009 $75.818 $73.925 $63.383
Net tangible assets $39.083 $45.666 $43.549 $63.383
(in millions USD) 2021 2020 2019
Current assets
Cash $42.612 $39.173 $14.04
Short term investments
Net receivables $28.632 $13.837 $5.833
Inventory $10.756 $8.635 $2.378
Other current assets
Total current assets $82.689 $63.023 $22.566
Long term investments
Property, plant & equipment $18.913 $8.239 $4.869
Goodwill $20.401
Intangible assets $9.975
Other assets $1.296 $0.913 $0.842
Deferred long term asset charges $0.711 $0.566 $0.513
Total assets $133.274 $72.175 $28.277
Current liabilities
Accounts payable $4.739 $4.709 $2.141
Short long term debt $5.333
Other current liabilities $5.925 $0.288 $0.052
Total current liabilities $22.871 $10.117 $5.197
Long term debt $10.605
Other liabilities $9.7
Deferred long term liabilities
Minority interest -$0.089
Total liabilities $59.349 $15.32 $8.624
Stockholders' equity
Stock option warrants
Common stock $0.041 $0.036 $0.034
Retained earnings $23.43 $14.356
Treasury stock -$6.513 -$3.846 -$3.846
Capital surplus $80.397 $37.235 $9.198
Other stockholder equity
Total stockholder equity $73.925 $56.855 $19.742
Net tangible assets $43.549 $56.855 $19.742

Income statement

(in millions USD) 29 Jun 2022 30 Mar 2022 30 Dec 2021 29 Sep 2021
Revenue
Total revenue $36.759 $31.083 $40.366 $34.786
Cost of revenue $7.205 $6.821 $6.932 $6.837
Gross profit $29.554 $24.262 $33.434 $27.949
Operating activities
Research & development
Selling, general & administrative $25.19 $22.356 $21.848 $19.903
Non-recurring
Other operating expenses
Total operating expenses $32.395 $29.177 $28.78 $26.74
Operating income $4.364 $1.906 $11.586 $8.046
Income from continuing operations
Net other income -$0.215 $0.076 -$0.023 -$0.018
EBIT $4.364 $1.906 $11.586 $8.046
Interest expense -$0.115 -$0.124 -$0.023 -$0.018
Income before tax $4.149 $1.982 $11.563 $8.028
Income tax expense $0.803 $0.605 $2.669 $1.921
Minority interest
Net income from continuing ops $3.346 $1.377 $8.894 $6.107
Non-recurring events
Discontinued operations
Extraordinary items
Effect of accounting change
Other items
Net income
Net income $3.346 $1.377 $8.894 $6.107
Income (for common shares) $3.346 $1.377 $8.894 $6.107
(in millions USD) 2021 2020 2019
Revenue
Total revenue $130.301 $80.122 $45.472
Cost of revenue $26.922 $17.209 $8.693
Gross profit $103.379 $62.913 $36.779
Operating activities
Research & development
Selling, general & administrative $81.013 $52.664 $25.713
Non-recurring
Other operating expenses
Total operating expenses $107.935 $69.873 $34.406
Operating income $22.366 $10.249 $11.066
Income from continuing operations
Net other income -$0.095 -$0.096 $0.875
EBIT $22.366 $10.249 $11.066
Interest expense -$0.095 -$0.019 -$0.005
Income before tax $22.271 $10.153 $11.941
Income tax expense $5.168 $1.079 $2.449
Minority interest -$0.089
Net income from continuing ops $17.103 $9.074 $9.492
Non-recurring events
Discontinued operations
Extraordinary items
Effect of accounting change
Other items
Net income
Net income $17.103 $9.074 $9.492
Income (for common shares) $17.103 $9.074 $9.492
(in millions USD) 29 Jun 2022 30 Mar 2022 30 Dec 2021 29 Sep 2021
Net income $3.346 $1.377 $8.894 $6.107
Operating activities
Depreciation $0.757 $0.729 $0.597 $0.595
Net income adjustments $0.603 $0.257 $0.721 $1.04
Change in accounts receivable $0.021 $0.787 -$4.384 -$5.924
Changes in liabilities -$3.603 $2.583 $3.173 $1.286
Changes in inventory -$1.537 -$3.067 -$1.878 $0.5
Changes in other operating activities $0.237 -$0.912 $0.415 $0.085
Total cash flows from operations -$0.176 $1.754 $7.538 $3.689
Investing activities
Capital expenditures -$0.14 -$0.072 -$0.189 -$0.066
Investments
Other cash flows from investing
Total cash flows from investing -$0.14 -$0.072 -$16.186 -$0.066
Financing activities
Dividends paid -$3.613 -$0.001 -$0.001
Sale and purchase of stock
Net borrowings -$1.364 -$1.361 $15.928 -$0.029
Other cash flows from financing -$0.016 -$0.016
Total cash flows from financing -$12.054 -$5.047 $15.892 -$0.585
Effect of exchange rate
Change in cash and equivalents -$12.37 -$3.365 $7.244 $3.038
(in millions USD) 2021 2020 2019
Net income $17.103 $9.074 $9.492
Operating activities
Depreciation $2.286 $1.572 $0.778
Net income adjustments $2.775 $2.391 $1.217
Change in accounts receivable -$14.781 -$8.004 -$3.042
Changes in liabilities $2.889 $3.773 $0.785
Changes in inventory -$3.776 -$7.323 -$2.36
Changes in other operating activities $0.453 -$0.665 -$0.567
Total cash flows from operations $6.949 $0.818 $6.303
Investing activities
Capital expenditures -$0.609 -$0.985 -$0.16
Investments
Other cash flows from investing
Total cash flows from investing -$16.606 -$0.985 -$0.16
Financing activities
Dividends paid -$0.001 -$0.001 -$2.262
Sale and purchase of stock
Net borrowings $15.855 -$0.057 -$0.019
Other cash flows from financing -$0.016 -$0.016 -$0.016
Total cash flows from financing $13.096 $25.3 -$2.231
Effect of exchange rate
Change in cash and equivalents $3.439 $25.133 $3.912