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Financial Statements — BAERW

Balance Sheet

(in millions USD)
MetricQ2 2026Q1 2026Q3 2025Q2 2025Q1 2025Q3 2024Q2 2024Q1 2024Q3 2023Q2 2023Q1 2023
Cash & Equivalents7.249.0055.1217.0422.3533.338.536.7819.380.842.29
Accounts Receivable------------------11.820.37
Total Current Assets32.4619.2288.1953.5846.3974.3138.9125.2163.7841.1948.89
Property, Plant & Equipment220.68222.00179.70181.78184.55185.39195.39195.87198.47202.05203.42
Goodwill20.8920.8920.8920.8920.8924.8124.7413.1613.132.462.46
Intangible Assets5.935.916.006.066.056.226.372.021.430.160.18
Total Non-current Assets*291.68295.15222.79225.46229.22233.00242.79227.22226.93212.25212.80
Total Assets324.14314.37310.99279.04275.60307.31281.71252.43290.71253.44261.69
Accounts Payable7.889.6511.0513.179.7713.5716.1811.9610.547.8213.06
Total Current Liabilities18.7221.3422.3524.6521.2021.7524.9320.0715.3616.8719.04
Long-term Debt233.09215.90200.40201.02201.86203.05203.59204.12205.22205.06205.24
Total Non-current Liabilities*271.12258.86210.72212.00215.03216.22217.55220.00224.81213.38211.79
Total Liabilities289.84280.20233.06236.65236.23237.96242.48240.07240.17230.25230.83
Retained Earnings(456.90)(456.40)(409.95)(444.47)(444.78)(416.39)(443.74)(433.76)(382.57)(400.05)(381.03)
Total Stockholder Equity(387.09)(380.12)(322.39)(350.99)(347.37)(304.35)(328.00)(348.67)(298.24)(319.55)(306.07)

* Derived from reported values

Income Statement

(in millions USD) (except per-share rows)
MetricQ2 2026Q1 2026Q4 2025Q3 2025Q2 2025Q1 2025Q4 2024Q3 2024Q2 2024Q1 2024Q4 2023Q3 2023Q2 2023Q1 2023
Total Revenue30.498.518.5567.8930.7515.6515.5964.5113.015.511.1153.6211.620.37
Cost of Revenue19.1717.0514.1121.1318.7017.2115.4023.009.879.218.3715.2110.517.25
Gross Profit11.32(8.54)(5.56)46.7512.05(1.56)0.1841.513.15(3.70)(7.26)38.411.11(6.88)
Selling, General & Admin5.3116.7313.457.726.528.597.678.647.9011.6118.6215.8315.1933.23
Total Operating Expenses------7.726.528.597.678.647.9011.6118.6215.8315.194.84
Operating Income------39.035.53(10.15)(7.48)32.87(4.75)(15.31)(25.88)22.58(14.08)(40.11)
Interest Expense------------------5.926.045.975.545.66
Pretax Income(0.50)(31.28)(14.96)33.680.49(15.29)(13.14)27.35(10.46)(20.07)(31.13)------
Tax Provision-0.000.030.19(0.84)0.180.25(0.29)0.00(0.48)0.010.01(0.31)----
Net Income(0.50)(31.30)(15.15)34.520.31(15.54)(12.84)27.35(9.98)(20.09)(31.14)17.49(19.02)(44.68)
Basic EPS(0.13)(0.69)(0.39)0.50(0.12)(0.41)(0.32)0.39(0.33)(0.55)(0.87)0.25(0.55)1.36
Diluted EPS(0.13)(0.69)(0.26)0.37(0.12)(0.41)(0.24)0.31(0.33)(0.55)(0.28)0.15(0.55)0.79

Cash Flow Statement

(in millions USD)
MetricQ2 2026Q1 2026Q4 2025Q3 2025Q2 2025Q1 2025Q4 2024Q3 2024Q2 2024Q1 2024Q4 2023Q3 2023Q2 2023Q1 2023
Operating Cash Flow(15.70)(21.12)(8.03)40.981.44(17.66)51.520.20(22.60)(19.76)14.6811.95(16.79)(36.65)
Capital Expenditures2.765.7070.376.330.933.310.991.150.990.962.685.531.3611.17
Free Cash Flow*(18.47)(26.81)(78.40)34.640.52(20.97)50.53(0.95)(23.59)(20.72)12.006.43(18.15)(47.82)
Investing Cash Flow(3.20)(5.98)(23.93)(6.63)(1.25)(2.64)1.98(1.37)1.66(0.21)(8.69)7.2915.6112.96
Financing Cash Flow17.204.76(1.46)(0.85)(0.85)(1.16)(0.73)(1.31)7.61(0.90)(0.73)(0.61)(0.42)(4.08)

* Derived from reported values