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Financial Statements — LVWR

Balance Sheet

(in millions USD)
MetricQ2 2026Q1 2026Q3 2025Q2 2025Q1 2025Q3 2024Q2 2024Q1 2024Q3 2023Q2 2023Q1 2023Q3 2022
Cash & Equivalents52.8767.5016.3229.3246.2288.44113.01141.03199.95215.87236.040.24
Accounts Receivable--------------------0.93--
Inventory13.6214.2322.8727.6128.4933.3634.0635.1032.7932.1731.10--
Total Current Assets75.7087.8046.2664.9181.62127.37151.49182.40239.93255.85272.81--
Property, Plant & Equipment25.4826.5028.5930.0531.4234.8636.8237.7237.6935.6833.22--
Goodwill8.628.338.338.338.338.338.338.338.338.338.33--
Intangible Assets4.030.740.870.931.001.121.191.251.461.581.69--
Total Non-current Assets*25.4826.5028.5930.0531.4250.9253.4354.6856.0254.6152.95--
Total Assets117.94127.6289.22109.77128.25178.30204.92237.09295.95310.46325.76402.63
Accounts Payable--------------------4.76--
Total Current Liabilities18.2120.4524.0627.2428.6035.9438.7744.1345.4040.8329.08--
Long-term Debt76.8274.19--------------------
Total Non-current Liabilities*87.8178.853.362.852.464.707.129.1812.0120.509.20--
Total Liabilities106.0299.3127.4230.0931.0640.6445.8953.3157.4161.3338.28402.18
Retained Earnings(337.37)(319.15)(283.40)(264.01)(245.18)(203.13)(180.44)(155.63)(98.89)(84.32)(43.58)(30.46)
Total Stockholder Equity11.9228.3261.8079.6897.19137.66159.03183.78238.54249.13287.480.45

* 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 2022
Total Revenue9.125.1211.365.705.872.7410.764.456.454.9815.098.147.037.769.22--
Cost of Revenue9.165.6511.278.605.324.9116.115.978.239.1120.287.059.976.506.94--
Gross Profit*(0.05)(0.54)0.09(2.90)0.55(2.17)(5.35)(1.52)(1.78)(4.13)(5.19)1.09(2.94)1.262.28--
Selling, General & Admin17.9717.1417.8315.9118.8118.5019.8925.0126.3826.3028.5726.4429.0426.1731.15--
Total Operating Expenses*17.9717.1417.8315.9118.8118.5019.8925.0126.3826.30(78.95)26.4429.0426.17(1.67)3.37
Operating Income(18.01)(17.67)(17.74)(18.81)(18.26)(20.67)(25.24)(26.52)(28.16)(30.42)(33.76)(25.34)(31.98)(24.91)(79.32)(3.37)
Pretax Income(18.14)(18.10)(17.53)(19.30)(18.84)(19.26)(22.76)(22.69)(24.78)(23.65)(33.08)(14.58)(40.67)(21.15)(22.63)--
Tax Provision0.080.030.090.09(0.01)0.010.020.000.03-0.000.02-0.000.060.00(0.19)--
Net Income(18.21)(18.13)(17.62)(19.39)(18.83)(19.27)(22.78)(22.69)(24.80)(23.64)(33.09)(14.58)(40.73)(21.15)(103.92)3.89
Basic EPS(0.09)(0.09)(0.09)(0.10)(0.09)(0.09)(0.11)(0.11)(0.12)(0.12)(0.17)(0.07)(0.20)(0.10)(0.91)0.01
Diluted EPS(0.09)(0.09)(0.09)(0.10)(0.09)(0.09)(0.11)(0.11)(0.12)(0.12)(0.17)(0.07)(0.20)(0.10)(0.91)0.01

* Derived from reported values

Cash Flow Statement

(in millions USD)
MetricQ2 2026Q1 2026Q4 2025Q3 2025Q2 2025Q1 2025Q4 2024Q3 2024Q2 2024Q1 2024Q4 2023Q3 2023Q2 2023Q1 2023Q4 2022Q3 2022
Operating Cash Flow(13.41)(12.99)(7.90)(13.28)(14.88)(17.49)(21.87)(23.10)(25.96)(22.93)(27.59)(14.68)(16.64)(24.55)(88.89)(0.79)
Capital Expenditures0.850.691.030.741.430.611.411.581.843.242.492.803.534.65----
Free Cash Flow*(14.26)(13.68)(8.93)(14.02)(16.31)(18.10)(23.28)(24.68)(27.80)(26.16)(30.08)(17.48)(20.17)(29.20)----
Investing Cash Flow(1.22)(0.69)(1.03)(0.73)(1.43)(0.61)(1.41)(1.58)(1.84)(3.24)(2.49)(2.79)(3.53)(4.65)(416.45)402.37
Financing Cash Flow0.04(1.61)75.461.04(0.51)(0.25)(0.52)0.00(0.22)(0.71)(1.97)1.550.000.00----

* Derived from reported values