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Financial Statements — HAE

Balance Sheet

(in billions USD)
MetricQ1 2027Q3 2026Q2 2026Q1 2026Q3 2025Q2 2025Q1 2025Q3 2024Q2 2024Q1 2024Q3 2023Q2 2023Q1 2023Q3 2022Q2 2022Q1 2022Q3 2021Q2 2021Q1 2021
Cash & Equivalents0.220.360.300.290.320.300.340.190.350.290.220.240.210.240.190.170.190.280.28
Accounts Receivable0.220.200.210.200.210.210.200.210.170.180.180.170.150.150.140.130.150.140.14
Inventory0.310.320.340.360.360.380.370.300.290.290.260.250.280.310.320.330.300.310.29
Total Current Assets0.810.940.900.911.010.960.980.760.870.800.710.720.690.730.700.680.670.760.76
Property, Plant & Equipment0.300.300.290.290.290.300.300.320.310.300.310.310.290.240.220.210.240.240.24
Goodwill0.660.610.610.610.610.620.610.550.470.470.470.460.470.470.470.470.220.210.22
Intangible Assets0.430.410.420.450.460.480.490.410.230.270.280.290.300.320.340.350.120.130.14
Total Non-current Assets*0.300.300.300.291.531.571.561.441.151.161.171.151.131.101.101.110.650.660.67
Total Assets2.372.492.442.462.532.532.542.202.011.961.881.871.821.831.801.791.321.421.43
Accounts Payable0.060.050.060.050.060.070.080.060.080.080.060.060.060.050.040.050.040.050.05
Total Current Liabilities0.260.540.550.530.250.270.260.260.260.240.230.260.180.360.290.230.190.340.41
Long-term Debt1.191.221.221.221.221.221.220.860.750.750.760.760.760.630.700.770.290.300.30
Total Non-current Liabilities*1.271.041.041.051.371.371.381.000.850.860.880.870.870.750.810.890.400.410.42
Total Liabilities*1.531.581.591.581.621.651.641.261.121.101.101.141.051.101.101.120.600.750.82
Retained Earnings0.310.380.340.360.390.370.390.340.310.280.220.200.220.190.170.150.170.140.09
Total Stockholder Equity0.840.910.850.880.910.880.910.940.890.860.780.730.770.730.700.680.720.670.61

* Derived from reported values

Income Statement

(in millions USD) (except per-share rows)
MetricQ1 2027Q4 2026Q3 2026Q2 2026Q1 2026Q4 2025Q3 2025Q2 2025Q1 2025Q4 2024Q3 2024Q2 2024Q1 2024Q4 2023Q3 2023Q2 2023Q1 2023Q4 2022Q3 2022Q2 2022
Total Revenue339.38346.35338.97327.32321.39330.60348.54345.51336.17343.29336.25318.18311.33304.42305.30297.49261.46265.00259.77239.90
Cost of Revenue136.58148.14136.58132.57129.15137.55155.00158.07161.25167.38158.38147.67144.07148.17146.59139.61119.20128.69121.20117.36
Gross Profit202.80198.21202.39194.74192.24193.05193.55187.44174.92175.91177.87170.51167.27156.25158.71157.88142.26136.31138.57122.54
Research & Development16.2014.4514.1914.8716.2615.9115.8316.5314.4515.8613.2712.6712.6515.6412.6910.9010.9013.2110.0410.85
Selling, General & Admin118.94120.93109.15101.62110.72115.14106.46106.95108.25121.68111.71104.9093.4997.3894.6692.4192.2391.8480.7375.78
Total Operating Expenses145.35221.24134.99136.25138.37121.72134.52135.74135.17145.96131.89135.21113.61120.99115.43111.15111.50117.11102.9198.03
Operating Income57.46(23.02)67.4058.4953.8771.3359.0351.7039.7629.9445.9835.3053.6635.2643.2846.7330.7719.2035.6524.51
Pretax Income47.57(28.40)59.9851.2945.1770.7449.9244.7046.7123.4144.0332.8351.5932.6342.2241.0625.4915.3331.3919.92
Tax Provision14.56(8.25)15.2412.6011.1412.7612.4210.878.343.0512.797.9210.553.249.287.865.625.598.165.07
Net Income33.01(20.15)44.7438.6834.0357.9837.4933.8338.3720.3731.2424.9141.0429.3832.9433.2019.889.7423.2314.86
Basic EPS0.73(0.42)0.960.810.711.170.750.660.750.400.620.490.810.580.650.650.390.200.450.29
Diluted EPS0.72(0.41)0.950.810.701.170.740.660.740.400.610.480.800.580.640.640.380.190.450.29

Cash Flow Statement

(in millions USD)
MetricQ1 2027Q4 2026Q3 2026Q2 2026Q1 2026Q4 2025Q3 2025Q2 2025Q1 2025Q4 2024Q3 2024Q2 2024Q1 2024Q4 2023Q3 2023Q2 2023Q1 2023Q4 2022Q3 2022Q2 2022
Operating Cash Flow52.3270.9493.56111.3217.40116.5643.7748.82(27.42)64.08(0.54)99.1219.0979.6164.4287.0441.9968.0562.4343.46
Capital Expenditures7.9117.666.355.023.7515.648.559.435.669.6922.2924.659.6611.9216.8535.9645.4735.1226.6620.81
Free Cash Flow*44.4253.2887.22106.3113.64100.9135.2239.39(33.08)54.40(22.83)74.479.4267.6947.5751.08(3.47)32.9435.7722.65
Investing Cash Flow(22.23)(86.61)(29.47)(30.47)(33.00)18.04(17.37)(23.37)(139.20)(13.06)(268.94)(25.13)(15.26)(18.01)(36.50)(31.07)(58.21)(34.51)(15.46)(20.52)
Financing Cash Flow(51.53)(101.50)2.03(76.55)(2.44)(151.45)1.38(74.80)333.69(63.50)109.43(7.17)(0.60)(1.60)(49.68)(25.69)(23.39)(8.76)(2.03)(3.31)

* Derived from reported values