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Financial Statements — ITGR

Balance Sheet

(in billions USD)
MetricQ2 2026Q1 2026Q3 2025Q2 2025Q1 2025Q3 2024Q2 2024Q1 2024Q3 2023Q2 2023Q1 2023Q3 2022Q2 2022Q1 2022Q3 2021Q2 2021Q1 2021
Cash & Equivalents0.020.010.060.020.030.040.030.040.030.040.040.020.020.030.030.030.03
Accounts Receivable0.340.330.310.300.280.240.240.240.230.240.250.220.220.200.180.180.17
Inventory0.290.280.260.270.260.270.270.260.230.230.230.210.190.170.150.150.15
Total Current Assets0.810.770.780.740.700.730.680.670.610.620.630.560.530.490.440.430.41
Property, Plant & Equipment0.530.53------0.470.470.450.360.350.330.280.280.270.250.250.25
Goodwill1.101.111.101.101.081.031.041.040.980.990.990.970.980.920.850.850.85
Intangible Assets0.700.720.750.760.770.710.720.740.690.710.720.730.750.700.630.640.65
Total Non-current Assets*0.532.640.520.510.502.442.452.452.232.252.242.182.232.111.911.921.93
Total Assets3.423.413.403.373.303.173.133.122.842.862.872.742.762.612.352.362.34
Accounts Payable0.110.120.110.120.110.120.120.120.110.110.120.100.100.090.070.070.06
Total Current Liabilities0.220.210.210.220.210.220.210.200.200.200.230.200.200.170.160.160.16
Long-term Debt1.241.251.191.201.241.081.121.140.940.991.000.940.950.830.630.670.69
Total Non-current Liabilities*1.491.511.441.451.481.321.371.391.171.221.231.181.201.070.860.880.90
Total Liabilities1.701.711.651.671.691.551.571.591.381.421.461.381.391.241.021.041.07
Retained Earnings1.031.010.950.910.870.860.820.790.740.720.690.660.650.630.590.570.54
Total Stockholder Equity1.721.701.751.701.611.621.551.531.461.451.421.361.361.361.331.311.28

* 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 2023Q4 2022Q3 2022Q2 2022Q1 2022Q4 2021Q3 2021
Total Revenue464.11439.58472.06467.69476.49437.39434.17431.42436.20414.81413.15404.69400.04378.79372.42342.68350.08310.91313.02305.57
Cost of Revenue351.17329.99347.30341.53347.34317.07320.96314.85316.81304.96302.90299.14294.24282.11274.51255.96257.18229.44231.15223.70
Gross Profit112.94109.60124.76126.16129.15120.32113.21116.57119.39109.84110.26105.56105.8096.6797.9286.7292.9081.4781.8781.87
Selling, General & Admin57.7058.7157.2150.4552.9251.1646.3444.8247.1246.9345.8042.1045.8341.8941.0438.2041.7939.5636.2734.27
Total Operating Expenses78.4177.7368.8269.7269.8170.7757.4558.5664.2170.5666.7457.4864.2362.5161.0557.4660.1958.9853.2048.78
Operating Income34.5331.8755.9456.4459.3449.5555.7658.0155.1939.2843.5148.0841.5834.1736.8729.2632.7122.5028.6633.09
Interest Expense------------------14.6712.6911.9711.4617.2514.2210.687.775.975.5110.05
Pretax Income23.2920.3546.8145.9945.60(13.00)39.3843.4240.0324.7429.3332.0829.8916.0020.5917.0024.4213.9522.1323.18
Tax Provision(0.31)3.85(1.80)6.318.599.476.367.148.784.232.974.825.922.933.500.943.592.582.131.11
Net Income23.6116.5148.6139.6837.01(22.49)32.7035.4431.2520.5126.3627.2623.9713.0718.1216.0620.8411.3723.7922.07
Basic EPS0.690.481.431.131.06(0.66)0.981.050.930.610.790.820.720.390.550.480.630.340.720.67
Diluted EPS0.690.481.401.111.04(0.66)0.900.990.880.590.780.810.710.390.550.480.620.340.710.66

Cash Flow Statement

(in millions USD)
MetricQ2 2026Q1 2026Q4 2025Q3 2025Q2 2025Q1 2025Q4 2024Q3 2024Q2 2024Q1 2024Q4 2023Q3 2023Q2 2023Q1 2023Q4 2022Q3 2022Q2 2022Q1 2022Q4 2021Q3 2021
Operating Cash Flow59.7424.7055.4265.6043.8631.2863.2371.5047.2423.2455.5962.2956.156.1951.6027.7718.8518.1639.2648.62
Capital Expenditures22.6923.9627.4819.3419.0025.2219.0926.0231.1829.0737.0525.4732.7224.6931.6320.4911.7510.8623.7511.30
Free Cash Flow*37.040.7427.9446.2624.866.0644.1445.4916.06(5.83)18.5336.8223.42(18.51)19.977.287.107.3015.5037.33
Investing Cash Flow(22.68)(37.90)(35.47)(20.27)(17.83)(197.17)29.62(26.23)(30.60)(168.20)(80.58)(25.42)(32.67)(24.69)(31.32)(20.44)(138.26)(10.40)(241.37)(11.23)
Financing Cash Flow(23.58)3.83(61.72)(10.71)(35.59)151.58(82.30)(43.14)(24.53)163.2917.52(43.13)(25.52)33.12(13.94)(9.19)116.63(1.03)194.05(42.88)

* Derived from reported values