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Profit margin

Debt to assets

Cash flow

(in millions GBP) 30 Mar 2021 30 Dec 2020 29 Sep 2020 29 Jun 2020
Current assets
Cash £53.781 £53.781 £40.982 £40.982
Short term investments
Net receivables £7.612 £7.612 £10.359 £10.359
Inventory
Other current assets £42.343 £42.343 £104.741 £104.741
Total current assets £103.736 £103.736 £156.082 £156.082
Long term investments £15.4 £15.4 £23.78 £23.78
Property, plant & equipment £511.534 £511.534 £438.15 £438.15
Goodwill
Intangible assets £1.784 £1.784
Other assets £8.67 £8.67 £13.334 £13.334
Deferred long term asset charges
Total assets £641.124 £641.124 £631.346 £631.346
Current liabilities
Accounts payable £2.149 £2.149 £18.459 £18.459
Short long term debt £4.489 £4.489 £4.42 £4.42
Other current liabilities £27.039 £27.039 £45.174 £45.174
Total current liabilities £38.193 £38.193 £68.38 £68.38
Long term debt £177.085 £177.085 £152.923 £152.923
Other liabilities
Deferred long term liabilities
Minority interest £0.025 £0.025
Total liabilities £215.304 £215.304 £221.446 £221.446
Stockholders' equity
Stock option warrants
Common stock £0.001 £0.001 £0.001 £0.001
Retained earnings £91.647 £91.647 £72.123 £72.123
Treasury stock £11.397 £11.397 £12.528 £12.528
Capital surplus £322.775 £322.775 £325.223 £325.223
Other stockholder equity £24.091 £24.091 £12.528 £12.528
Total stockholder equity £425.82 £425.82 £409.875 £409.875
Net tangible assets £424.036 £424.036 £409.875 £409.875
(in millions GBP) 2021 2020 2019
Current assets
Cash £53.781 £84.453 £57.425
Short term investments
Net receivables £7.612 £6.85 £6.699
Inventory
Other current assets £42.343 £113.256 £21.423
Total current assets £103.736 £204.559 £85.547
Long term investments £15.4 £16.117 £14.542
Property, plant & equipment £511.534 £388.252 £562.815
Goodwill
Intangible assets £1.784
Other assets £8.67 £13.523 £13.365
Deferred long term asset charges
Total assets £641.124 £622.451 £676.269
Current liabilities
Accounts payable £2.149 £0.292 £16.862
Short long term debt £4.489 £29.981
Other current liabilities £27.039 £71.911 £10.951
Total current liabilities £38.193 £74.721 £57.794
Long term debt £177.085 £156.172 £215.839
Other liabilities £10.416
Deferred long term liabilities
Minority interest £0.095 £2.969
Total liabilities £215.304 £231.115 £284.049
Stockholders' equity
Stock option warrants
Common stock £0.001 £0.001 £0.001
Retained earnings £91.647 £57.49 £60.952
Treasury stock £11.397 £10.758 £3.075
Capital surplus £322.775 £322.992 £325.223
Other stockholder equity £24.091 £27.775 £3.075
Total stockholder equity £425.82 £391.241 £389.251
Net tangible assets £424.036 £391.241 £389.251

Income statement

(in millions GBP) 30 Mar 2021 30 Dec 2020 29 Sep 2020 29 Jun 2020
Revenue
Total revenue £12.2805 £12.2805 £10.5535 £10.5535
Cost of revenue £2.3015 £2.3015 £3.186 £3.186
Gross profit £9.979 £9.979 £7.3675 £7.3675
Operating activities
Research & development
Selling, general & administrative £2.044 £2.044 £1.692 £1.692
Non-recurring
Other operating expenses £0.732 £0.732 £0.4215 £0.4215
Total operating expenses £6.319 £6.319 £5.3675 £5.3675
Operating income £5.9615 £5.9615 £5.186 £5.186
Income from continuing operations
Net other income £9.2905 £9.2905 £7.532 £7.532
EBIT £5.9615 £5.9615 £5.186 £5.186
Interest expense -£1.409 -£1.409 -£1.5195 -£1.5195
Income before tax £15.252 £15.252 £12.718 £12.718
Income tax expense £0.1825 £0.1825 £0.8345 £0.8345
Minority interest £0.025 £0.025
Net income from continuing ops £15.0695 £15.0695 £11.8835 £11.8835
Non-recurring events
Discontinued operations -£0.545 -£0.545 £0.0995 £0.0995
Extraordinary items
Effect of accounting change
Other items
Net income
Net income £14.5365 £14.5365 £11.986 £11.986
Income (for common shares) £14.5365 £14.5365 £11.986 £11.986
(in millions GBP) 2021 2020 2019
Revenue
Total revenue £45.668 £46.771 £55.751
Cost of revenue £10.975 £11.177 £10.597
Gross profit £34.693 £35.594 £45.154
Operating activities
Research & development
Selling, general & administrative £7.472 £6.863 £7.069
Non-recurring
Other operating expenses £2.307 £1.977 £3.514
Total operating expenses £23.373 £20.797 £21.18
Operating income £22.295 £25.974 £34.571
Income from continuing operations
Net other income £33.645 -£9.84 -£5.781
EBIT £22.295 £25.974 £34.571
Interest expense -£5.857 -£7.119 -£9.343
Income before tax £55.94 £16.134 £28.79
Income tax expense £2.034 -£1.222 £2.443
Minority interest £0.095 £2.969
Net income from continuing ops £53.906 £17.356 £26.347
Non-recurring events
Discontinued operations -£0.891 -£2.197 -£2.323
Extraordinary items
Effect of accounting change
Other items
Net income
Net income £53.045 £15.565 £23.828
Income (for common shares) £53.045 £15.565 £23.828
(in millions GBP) 30 Mar 2021 30 Dec 2020 29 Sep 2020 29 Jun 2020
Net income £14.5365 £14.5365 £11.986 £11.986
Operating activities
Depreciation £0.069 £0.069 £0.068 £0.068
Net income adjustments -£8.7885 -£8.7885 -£7.4975 -£7.4975
Change in accounts receivable £0.8475 £0.8475 -£0.9845 -£0.9845
Changes in liabilities -£1.7265 -£1.7265 £0.063 £0.063
Changes in inventory
Changes in other operating activities
Total cash flows from operations £4.938 £4.938 £3.635 £3.635
Investing activities
Capital expenditures
Investments £3.5 £3.5 -£4 -£4
Other cash flows from investing -£1.16 -£1.16 -£3.427 -£3.427
Total cash flows from investing -£2.3545 -£2.3545 -£16.6985 -£16.6985
Financing activities
Dividends paid -£3.2305 -£3.2305 -£2.7235 -£2.7235
Sale and purchase of stock
Net borrowings £9.805 £9.805 -£4.191 -£4.191
Other cash flows from financing -£1.975 -£1.975 -£0.0395 -£0.0395
Total cash flows from financing £3.7205 £3.7205 -£8.077 -£8.077
Effect of exchange rate -£0.866 -£0.866 -£0.1005 -£0.1005
Change in cash and equivalents £5.438 £5.438 -£21.241 -£21.241
(in millions GBP) 2021 2020 2019
Net income £53.045 £15.565 £23.828
Operating activities
Depreciation £0.274 £0.239 £0.239
Net income adjustments -£32.572 -£1.312 -£1.977
Change in accounts receivable -£0.274 £0.632 -£1.226
Changes in liabilities -£3.327 £2.702 £3.818
Changes in inventory
Changes in other operating activities
Total cash flows from operations £17.146 £17.826 £24.443
Investing activities
Capital expenditures
Investments -£1 -£1 £23.117
Other cash flows from investing -£9.174 -£9.174 -£9.174
Total cash flows from investing -£38.106 £90.74 £57.485
Financing activities
Dividends paid -£11.908 -£13.93 -£13.446
Sale and purchase of stock
Net borrowings £11.228 -£58.025 -£24.157
Other cash flows from financing -£4.029 -£0.72 -£0.759
Total cash flows from financing -£8.713 -£77.503 -£46.282
Effect of exchange rate -£1.933 -£4.695 -£1.713
Change in cash and equivalents -£31.606 £26.368 £33.933

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 $6.251 $9.503 $2.505 $6.458
Short term investments
Net receivables $14.489 $12.409 $14.764 $12.434
Inventory $4.763 $4.853 $5.983 $5.487
Total current assets $29.14 $30.847 $30.617 $33.946
Long term investments
Property, plant & equipment $727.948 $726.358 $718.483 $710.155
Goodwill & intangible assets $1.939 $1.939 $1.939 $1.939
Total noncurrent assets $753.991 $744.564 $736.215 $727.865
Total investments
Total assets $783.131 $775.411 $766.832 $761.811
Current liabilities
Accounts payable $7.801 $7.878 $9.697 $8.43
Deferred revenue
Short long term debt $2.302 $2.267 $2.244 $7.271
Total current liabilities $22.434 $21.725 $22.414 $27.176
Long term debt $177.992 $178.834 $178.81 $176.367
Total noncurrent liabilities $526.281 $521.7 $514.021 $505.042
Total debt $180.294 $181.101 $181.054 $183.638
Total liabilities $548.715 $543.425 $536.435 $532.218
Stockholders' equity
Retained earnings $80.457 $78.174 $76.743 $76.24
Other stockholder equity
Total stockholder equity $234.416 $231.986 $230.397 $229.593
(in millions USD) 2023 2022 2021
Current assets
Cash $2.505 $1.309 $0.092
Short term investments
Net receivables $14.764 $15.097 $9.943
Inventory $5.983 $4.702 $1.933
Total current assets $30.617 $27.804 $19.16
Long term investments
Property, plant & equipment $718.483 $672.238 $594.633
Goodwill & intangible assets $1.939 $1.939
Total noncurrent assets $736.215 $691.987 $606.051
Total investments
Total assets $766.832 $719.791 $625.211
Current liabilities
Accounts payable $9.697 $10.929 $10.206
Deferred revenue
Short long term debt $2.244 $22.22 $28.324
Total current liabilities $22.414 $44.069 $47.702
Long term debt $178.81 $176.085 $143.699
Total noncurrent liabilities $514.021 $487.791 $399.499
Total debt $181.054 $198.305 $172.023
Total liabilities $536.435 $531.86 $447.201
Stockholders' equity
Retained earnings $76.743 $71.286 $63.607
Other stockholder equity
Total stockholder equity $230.397 $187.931 $178.01

Income statement

(in millions USD) 30 Jun 2024 31 Mar 2024 31 Dec 2023 30 Sep 2023
Revenue
Total revenue $27.416 $24.544 $24.544 $26.57
Cost of revenue $14.848 $14.679 $14.385 $14.216
Gross profit $12.568 $9.865 $10.159 $12.354
Operating activities
Research & development
Selling, general & administrative
Total operating expenses $3.425 $3.465 $3.453 $3.444
Operating income $9.143 $6.4 $6.706 $8.91
Income from continuing operations
EBIT $9.445 $8.259 $6.868 $9.522
Income tax expense $1.945 $1.681 $1.192 $2.249
Interest expense $2.175 $2.167 $2.196 $2.202
Net income
Net income $5.325 $4.411 $3.48 $5.071
Income (for common shares) $5.325 $4.411 $3.48 $5.071
(in millions USD) 2023 2022 2021
Revenue
Total revenue $98.861 $98.897 $90.859
Cost of revenue $56.732 $56.493 $50.943
Gross profit $42.129 $42.404 $39.916
Operating activities
Research & development
Selling, general & administrative
Total operating expenses $13.335 $12.62 $11.885
Operating income $28.794 $29.784 $28.031
Income from continuing operations
EBIT $32.203 $32.378 $30.156
Income tax expense $6.348 $5.878 $5.737
Interest expense $9.156 $8.502 $7.592
Net income
Net income $16.699 $17.998 $16.827
Income (for common shares) $16.699 $17.998 $16.827
(in millions USD) 30 Jun 2024 31 Mar 2024 31 Dec 2023 30 Sep 2023
Net income $5.325 $4.411 $3.48 $5.071
Operating activities
Depreciation $3.424 $3.465 $3.453 $3.443
Business acquisitions & disposals
Stock-based compensation $0.057 $0.068 $0.069 $0.069
Total cash flows from operations $6.865 $12.594 $8.491 $8.139
Investing activities
Capital expenditures -$9.438 -$8.322 -$13.316 -$16.512
Investments
Total cash flows from investing -$9.438 -$8.322 -$13.316 -$16.512
Financing activities
Dividends paid -$3.042 -$2.98 -$2.977 -$2.919
Sale and purchase of stock $0.09 $0.09 $0.233 $0.103
Net borrowings -$0.805 $0.416 -$1.917 $4.891
Total cash flows from financing -$0.679 $2.726 $0.872 $8.908
Effect of exchange rate
Change in cash and equivalents $6.998 -$3.953 $0.535
(in millions USD) 2023 2022 2021
Net income $16.699 $17.998 $16.827
Operating activities
Depreciation $13.335 $12.62 $11.885
Business acquisitions & disposals -$6.341
Stock-based compensation $0.254 $0.152 $0.193
Total cash flows from operations $31.851 $24.265 $31.31
Investing activities
Capital expenditures -$62.078 -$48.418 -$40.724
Investments
Total cash flows from investing -$62.078 -$54.759 -$40.724
Financing activities
Dividends paid -$11.242 -$10.319 -$9.826
Sale and purchase of stock $37.073 $2.09 $1.39
Net borrowings -$16.61 $23.509 $2.097
Total cash flows from financing $31.423 $31.711 $9.478
Effect of exchange rate
Change in cash and equivalents $1.196 $1.217 $0.064

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 $10.102 $19.212 $4.502 $13.306
Short term investments
Net receivables $1.619 $1.581 $0.904 $0.41
Inventory $4.497 $2.756 $2.106 $2.128
Total current assets $17.224 $24.542 $8.02 $16.626
Long term investments $0.134 $0.134 $0.134 $0.134
Property, plant & equipment $89.255 $89.299 $87.648 $85.999
Goodwill & intangible assets $5.714 $5.714 $5.714 $5.714
Total noncurrent assets $100.888 $100.965 $99.354 $97.829
Total investments $0.134 $0.134 $0.134 $0.134
Total assets $118.112 $125.507 $107.374 $114.455
Current liabilities
Accounts payable $1.901 $2.7 $1.245 $1.626
Deferred revenue $2.468 $1.348 $0.998 $0.843
Short long term debt $0.326 $0.328 $0.309 $0.312
Total current liabilities $9.117 $8.574 $5.835 $5.93
Long term debt $80.755 $79.655 $60.906 $60.081
Total noncurrent liabilities $81.423 $80.322 $61.572 $60.87
Total debt $81.081 $79.983 $61.215 $60.393
Total liabilities $90.54 $88.896 $67.407 $66.8
Stockholders' equity
Retained earnings -$658.125 -$647.965 -$639.85 -$631.807
Other stockholder equity
Total stockholder equity $27.572 $36.611 $39.967 $47.655
(in millions USD) 2023 2022 2021
Current assets
Cash $4.502 $11.285 $12.253
Short term investments
Net receivables $0.904 $0.454 $0.27
Inventory $2.106
Total current assets $8.02 $12.435 $13.214
Long term investments $0.134 $2.497 $8.579
Property, plant & equipment $87.648 $84.691 $82.171
Goodwill & intangible assets $5.714 $5.714 $3.813
Total noncurrent assets $99.354 $98.352 $99.279
Total investments $0.134 $2.497 $8.579
Total assets $107.374 $110.787 $112.493
Current liabilities
Accounts payable $1.245 $1.107 $0.286
Deferred revenue $0.998 $0.75 $0.75
Short long term debt $0.309 $0.249 $0.131
Total current liabilities $5.835 $5.639 $2.513
Long term debt $60.906 $70.139 $68.589
Total noncurrent liabilities $61.572 $70.925 $69.371
Total debt $61.215 $70.388 $68.72
Total liabilities $67.407 $76.564 $71.884
Stockholders' equity
Retained earnings -$639.85 -$603.298 -$573.4
Other stockholder equity
Total stockholder equity $39.967 $34.223 $40.609

Income statement

(in millions USD) 30 Jun 2024 31 Mar 2024 31 Dec 2023 30 Sep 2023
Revenue
Total revenue $0.513 $1.121 $0.684 $0.368
Cost of revenue $0.852 $1.004 $1.405 $0.692
Gross profit -$0.339 $0.117 -$0.721 -$0.324
Operating activities
Research & development
Selling, general & administrative $6.305 $4.73 $4.419 $5.127
Total operating expenses $6.61 $5.025 $4.724 $5.435
Operating income -$6.949 -$4.908 -$5.445 -$5.759
Income from continuing operations
EBIT -$6.949 -$4.908 -$5.445 -$6.137
Income tax expense $0.002 $0.003 $0.003 $0.004
Interest expense $1.921 $1.939 $1.307 $0.795
Net income
Net income -$8.872 -$6.85 -$6.755 -$6.936
Income (for common shares) -$8.872 -$6.85 -$6.755 -$6.936
(in millions USD) 2023 2022 2021
Revenue
Total revenue $1.991 $1.501 $0.564
Cost of revenue $2.887 $2.067
Gross profit -$0.896 -$0.566 $0.564
Operating activities
Research & development
Selling, general & administrative $18.797 $15.342 $17.653
Total operating expenses $20.044 $15.996 $18.076
Operating income -$20.94 -$16.562 -$17.512
Income from continuing operations
EBIT -$26.491 -$16.522 -$19.853
Income tax expense $0.011 $0.007 $0.01
Interest expense $4.944 $8.263 $11.386
Net income
Net income -$31.446 -$24.792 -$31.249
Income (for common shares) -$31.446 -$24.792 -$31.249
(in millions USD) 30 Jun 2024 31 Mar 2024 31 Dec 2023 30 Sep 2023
Net income -$8.872 -$6.85 -$6.755 -$6.936
Operating activities
Depreciation $0.338 $0.328 $0.337 $0.339
Business acquisitions & disposals
Stock-based compensation $1.121 $1.259 $0.354 $0.653
Total cash flows from operations -$7.063 -$2.873 -$5.522 -$5.531
Investing activities
Capital expenditures -$0.281 -$0.186 -$1.972 -$0.602
Investments
Total cash flows from investing -$0.281 -$0.186 -$1.972 -$0.602
Financing activities
Dividends paid -$1.265 -$1.288 -$1.265 -$1.288
Sale and purchase of stock
Net borrowings -$0.501 $19.109 $0.555 $0.202
Total cash flows from financing -$1.766 $17.769 -$1.31 -$1.086
Effect of exchange rate
Change in cash and equivalents -$9.11 $14.71 -$8.804 -$7.219
(in millions USD) 2023 2022 2021
Net income -$31.446 -$24.792 -$31.249
Operating activities
Depreciation $1.369 $0.672 $0.438
Business acquisitions & disposals -$0.75
Stock-based compensation $1.496 $1.876 $4.747
Total cash flows from operations -$20.924 -$18.599 -$15.274
Investing activities
Capital expenditures -$5.787 -$3.376 -$22.908
Investments $0.004 -$0.564
Total cash flows from investing -$5.787 -$4.122 -$23.472
Financing activities
Dividends paid -$5.106 -$5.106 -$1.449
Sale and purchase of stock $38.49 $21.636 $32.459
Net borrowings -$14.931 $0.117 -$27.458
Total cash flows from financing $17.565 $16.647 $51.178
Effect of exchange rate
Change in cash and equivalents -$9.146 -$6.074 $12.432

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 $96.670206 $46.177641 $42.621898 $48.845606
Short term investments
Net receivables $39.664848 $41.764256 $38.226891 $38.114847
Inventory $9.560476 $9.186619 $11.090413 $12.963678
Total current assets $150.758855 $118.772561 $112.714375 $109.577319
Long term investments $1.311271 $1.262474 $1.412158 $1.388917
Property, plant & equipment $59.147379 $57.720778 $58.513438 $58.23021
Goodwill & intangible assets $15.886404 $16.050496 $16.214589 $12.833901
Total noncurrent assets $84.403105 $104.393622 $105.723217 $102.020172
Total investments $1.311271 $1.262474 $1.412158 $1.388917
Total assets $235.16196 $223.166183 $218.437592 $211.597491
Current liabilities
Accounts payable $8.100744 $11.148185 $11.604369 $11.436484
Deferred revenue $5.957475 $5.720584 $6.554028 $9.920307
Short long term debt $0.789572 $0.564805 $0.648899 $0.58647
Total current liabilities $19.530591 $23.802584 $23.904646 $26.470466
Long term debt $3.064336 $1.885675 $2.018492 $1.614775
Total noncurrent liabilities $3.62987 $2.122606 $2.702272 $2.23406
Total debt $3.853908 $2.45048 $2.667391 $2.201245
Total liabilities $23.160461 $25.92519 $26.606918 $28.704526
Stockholders' equity
Retained earnings $104.455633 $90.113086 $85.14882 $76.8077
Other stockholder equity
Total stockholder equity $206.706097 $192.068463 $186.827212 $177.999519
(in millions USD) 2023 2022 2021
Current assets
Cash $42.621898 $50.711751 $42.858059
Short term investments
Net receivables $38.226891 $27.046182 $27.349307
Inventory $11.090413 $10.278829 $7.237842
Total current assets $112.714375 $92.574256 $76.934722
Long term investments $1.412158 $1.54543 $1.715905
Property, plant & equipment $58.513438 $58.29361 $56.338539
Goodwill & intangible assets $16.214589 $13.243901 $13.826679
Total noncurrent assets $105.723217 $100.432593 $100.092332
Total investments $1.412158 $1.54543 $1.715905
Total assets $218.437592 $193.006849 $177.027054
Current liabilities
Accounts payable $11.604369 $8.842154 $2.995872
Deferred revenue $6.554028 $9.119746 $1.097524
Short long term debt $0.648899 $0.661815 $0.654825
Total current liabilities $23.904646 $22.656585 $7.686657
Long term debt $2.018492 $1.806659 $2.289432
Total noncurrent liabilities $2.702272 $2.586075 $3.674974
Total debt $2.667391 $2.468474 $2.944257
Total liabilities $26.606918 $25.24266 $11.361631
Stockholders' equity
Retained earnings $85.14882 $61.247699 $60.603056
Other stockholder equity
Total stockholder equity $186.827212 $159.667213 $157.578885

Income statement

(in millions USD) 30 Jun 2024 31 Mar 2024 31 Dec 2023 30 Sep 2023
Revenue
Total revenue $32.479158 $39.68939 $53.250905 $49.854075
Cost of revenue $20.858944 $25.811367 $33.960859 $33.239647
Gross profit $11.620214 $13.878023 $19.290046 $16.614428
Operating activities
Research & development
Selling, general & administrative $6.606294 $6.564029 $6.858299 $5.87249
Total operating expenses $6.609424 $6.564029 $6.872327 $5.87249
Operating income $5.01079 $7.313994 $12.417719 $10.741938
Income from continuing operations
EBIT $16.947628 $7.129545 $12.264047 $10.615602
Income tax expense $1.063933 $0.621696 $2.384009 $1.976453
Interest expense $0.033438 $0.033501 $0.037173 $0.03402
Net income
Net income $15.850257 $6.474348 $9.842865 $8.605129
Income (for common shares) $15.850257 $6.474348 $9.842865 $8.605129
(in millions USD) 2023 2022 2021
Revenue
Total revenue $180.211233 $94.104972 $66.863502
Cost of revenue $118.284128 $63.749849 $43.356311
Gross profit $61.927105 $30.355123 $23.507191
Operating activities
Research & development
Selling, general & administrative $24.752366 $21.070234 $18.350359
Total operating expenses $24.759478 $21.082938 $21.496195
Operating income $37.167627 $9.272185 $2.010996
Income from continuing operations
EBIT $36.480689 $6.299578 $0.437845
Income tax expense $6.750014 $0.396739 -$0.447982
Interest expense $0.145284 $0.046545 $0.010248
Net income
Net income $29.585391 $5.856294 $0.875579
Income (for common shares) $29.585391 $5.856294 $0.875579
(in millions USD) 30 Jun 2024 31 Mar 2024 31 Dec 2023 30 Sep 2023
Net income $15.850257 $6.474348 $9.842865 $8.605129
Operating activities
Depreciation $1.667638 $1.674699 $6.576454
Business acquisitions & disposals $31.959685 -$3.419916
Stock-based compensation $0.297368 $0.279875 $1.933666
Total cash flows from operations $20.955889 $5.950002 -$0.424863 $3.422075
Investing activities
Capital expenditures -$1.193701 -$0.531452 -$0.924114 -$1.013729
Investments
Total cash flows from investing $32.070963 -$0.531452 -$4.344632 -$1.013729
Financing activities
Dividends paid -$1.521939 -$1.500449 -$1.495114 -$1.336884
Sale and purchase of stock $0.092513
Net borrowings -$0.047306 -$0.050018 -$0.053134 -$0.027639
Total cash flows from financing -$1.575708 -$1.557565 -$1.552543 -$1.276098
Effect of exchange rate
Change in cash and equivalents $51.451144 $3.860985 -$6.322038 $1.132248
(in millions USD) 2023 2022 2021
Net income $29.585391 $5.856294 $0.875579
Operating activities
Depreciation $6.576454 $6.187308 $6.925778
Business acquisitions & disposals -$5.859943
Stock-based compensation $1.933666 $1.417172 $0.977232
Total cash flows from operations $7.970762 $21.331805 $6.96631
Investing activities
Capital expenditures -$5.047884 -$7.542761 -$1.490012
Investments $2.5 -$2.5
Total cash flows from investing -$10.887019 -$4.981036 -$3.944452
Financing activities
Dividends paid -$5.47279 -$5.145742 -$5.151667
Sale and purchase of stock $0.099764 $0.026739 $0.017059
Net borrowings -$0.135481 -$0.072091 -$0.049729
Total cash flows from financing -$5.524565 -$6.304873 -$5.862031
Effect of exchange rate
Change in cash and equivalents -$8.440822 $10.045896 -$2.840173

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 $19.696 $22.872 $4.763 $7.665
Short term investments
Net receivables $6.858 $5.848 $6.143 $6.703
Inventory
Total current assets $26.88 $28.565 $11.724 $14.03
Long term investments
Property, plant & equipment $333.698 $328.252 $325.062 $319.33
Goodwill & intangible assets $18.059 $19.662 $19.661 $19.688
Total noncurrent assets $357.58 $353.098 $349.371 $344.422
Total investments
Total assets $384.46 $381.663 $361.095 $358.452
Current liabilities
Accounts payable $1.133 $0.609 $1.027 $0.661
Deferred revenue $19.974 $19.768 $19.656 $19.656
Short long term debt $4.537 $4.447 $4.433 $4.403
Total current liabilities $14.434 $15.602 $14.217 $16.384
Long term debt $120.362 $122.256 $105.026 $104.647
Total noncurrent liabilities $322.411 $318.371 $298.258 $292.988
Total debt $124.899 $126.703 $109.459 $109.05
Total liabilities $336.845 $333.973 $312.475 $309.372
Stockholders' equity
Retained earnings $0.706 $0.797 $0.797 $1.521
Other stockholder equity
Total stockholder equity $47.615 $47.69 $48.62 $49.08
(in millions USD) 2023 2022 2021
Current assets
Cash $4.763 $7.562 $13.453
Short term investments
Net receivables $6.143 $5.158 $4.705
Inventory
Total current assets $11.724 $14.158 $18.987
Long term investments
Property, plant & equipment $325.062 $289.628 $255.866
Goodwill & intangible assets $19.661 $15.096 $16.069
Total noncurrent assets $349.371 $308.928 $275.087
Total investments
Total assets $361.095 $323.086 $294.074
Current liabilities
Accounts payable $1.027 $2.173 $2.12
Deferred revenue $19.656 $20.974 $19.035
Short long term debt $4.433 $4.338 $3.975
Total current liabilities $14.217 $16.249 $16.932
Long term debt $105.026 $106.561 $108.933
Total noncurrent liabilities $298.258 $262.443 $247.113
Total debt $109.459 $110.899 $112.908
Total liabilities $312.475 $278.692 $264.045
Stockholders' equity
Retained earnings $0.797
Other stockholder equity
Total stockholder equity $48.62 $44.394 $30.029

Income statement

(in millions USD) 30 Jun 2024 31 Mar 2024 31 Dec 2023 30 Sep 2023
Revenue
Total revenue $13.51 $11.61 $12.368 $14.532
Cost of revenue $3.485 $3.284 $3.112 $3.587
Gross profit $10.025 $8.326 $9.256 $10.945
Operating activities
Research & development
Selling, general & administrative $4.232 $4.125 $4.702 $3.923
Total operating expenses $7.228 $7.059 $7.594 $7.108
Operating income $2.797 $1.267 $1.662 $3.837
Income from continuing operations
EBIT $3.835 $2.507 $2.704 $4.782
Income tax expense $0.598 $0.25 $0.388 $0.888
Interest expense $1.507 $1.566 $1.173 $1.26
Net income
Net income $1.73 $0.691 $1.143 $2.634
Income (for common shares) $1.73 $0.691 $1.143 $2.634
(in millions USD) 2023 2022 2021
Revenue
Total revenue $53.028 $44.728 $41.914
Cost of revenue $12.669 $10.889 $10.299
Gross profit $40.359 $33.839 $31.615
Operating activities
Research & development
Selling, general & administrative $16.636 $16.13 $15.146
Total operating expenses $28.073 $26.02 $24.636
Operating income $12.286 $7.819 $6.979
Income from continuing operations
EBIT $15.736 $10.476 $9.96
Income tax expense $2.872 $0.934 $1.15
Interest expense $4.882 $4.036 $5.201
Net income
Net income $7.982 $5.506 $3.609
Income (for common shares) $7.982 $5.506 $3.609
(in millions USD) 30 Jun 2024 31 Mar 2024 31 Dec 2023 30 Sep 2023
Net income $1.73 $0.691 $1.143 $2.634
Operating activities
Depreciation $3.12 $3.024 $2.976 $3.233
Business acquisitions & disposals
Stock-based compensation
Total cash flows from operations $5.503 $8.068 $2.731 $10.007
Investing activities
Capital expenditures -$6.446 -$5.761 -$3.734 -$4.885
Investments
Total cash flows from investing -$6.446 -$5.765 -$3.774 -$4.885
Financing activities
Dividends paid -$1.821 -$1.819 -$1.813 -$1.8
Sale and purchase of stock -$0.001 $0.01
Net borrowings -$1.987 $17.253 $0.236 -$6.891
Total cash flows from financing -$2.233 $15.806 -$1.859 -$1.812
Effect of exchange rate
Change in cash and equivalents -$3.176 $18.109 -$2.902 $3.31
(in millions USD) 2023 2022 2021
Net income $7.982 $5.506 $3.609
Operating activities
Depreciation $11.761 $10.071 $9.49
Business acquisitions & disposals -$6.246 -$0.18 -$2.068
Stock-based compensation
Total cash flows from operations $25.393 $23.336 $20.386
Investing activities
Capital expenditures -$22.312 -$33.984 -$18.25
Investments
Total cash flows from investing -$28.598 -$34.188 -$20.319
Financing activities
Dividends paid -$7.185 -$6.889 -$6.609
Sale and purchase of stock $2.757 $14.815 $0.004
Net borrowings -$1.812 -$3.574 -$2.114
Total cash flows from financing $0.406 $4.971 -$7.929
Effect of exchange rate
Change in cash and equivalents -$2.799 -$5.881 -$7.862