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Financial Statements — NGVT

Balance Sheet

(in billions USD)
MetricQ2 2026Q1 2026Q3 2025Q2 2025Q1 2025Q3 2024Q2 2024Q1 2024Q3 2023Q2 2023Q1 2023Q3 2022Q2 2022Q1 2022Q3 2021Q2 2021Q1 2021
Cash & Equivalents0.100.100.080.080.070.140.110.090.080.070.080.070.130.220.270.230.24
Inventory0.150.200.190.220.250.260.300.330.390.390.360.280.280.260.230.210.20
Total Current Assets0.540.580.520.540.530.640.690.670.730.760.720.650.680.730.720.670.64
Property, Plant & Equipment0.570.600.630.650.660.670.720.730.800.800.800.720.720.720.700.700.70
Goodwill0.000.000.000.000.180.190.180.530.520.530.520.390.410.430.440.450.45
Intangible Assets0.140.170.270.280.280.300.300.300.380.390.400.270.300.320.340.360.37
Total Non-current Assets*0.991.071.311.341.531.571.591.902.032.062.061.691.691.721.711.721.70
Total Assets1.541.651.831.882.062.212.282.572.772.832.772.342.372.462.432.392.34
Accounts Payable0.090.090.100.100.110.100.140.150.200.200.170.160.170.130.130.120.11
Total Current Liabilities0.340.410.410.390.260.360.360.350.310.310.280.290.270.550.250.230.22
Long-term Debt1.061.081.161.241.331.401.401.411.471.531.501.151.180.951.251.261.26
Total Non-current Liabilities*1.151.201.281.361.561.641.631.651.741.801.771.411.441.221.531.471.46
Total Liabilities1.491.611.701.761.822.001.992.002.052.112.051.701.711.771.781.701.68
Retained Earnings0.500.460.490.450.590.560.660.951.121.091.060.990.920.860.770.770.73
Total Stockholder Equity0.050.040.140.120.230.210.280.570.720.710.730.630.650.690.640.690.66

* 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 Revenue314.10258.00185.40333.10365.10284.00298.80376.90390.60340.10371.70446.00481.80392.60383.60482.00419.90382.80336.00376.80
Cost of Revenue175.10141.60109.10199.20227.20170.60196.90247.00267.40240.40312.20317.00328.80262.20278.20305.70269.30245.00231.00235.00
Gross Profit139.00116.4076.30133.90137.90113.40101.90129.90123.2099.7059.50129.00153.00130.40105.40176.30150.60137.80105.00141.80
Research & Development6.106.705.907.007.807.707.306.707.306.807.207.808.008.807.207.608.207.307.006.80
Selling, General & Admin39.0040.7039.8044.1044.2043.1039.4038.7041.4047.2043.4040.0051.7048.6055.9054.2048.7040.0048.3043.50
Total Operating Expenses------19.70----21.3064.4021.9022.80(2.30)18.6032.3026.5031.1038.1029.5018.8025.4022.30
Operating Income------------80.60110.20101.3076.9061.80110.40120.70103.9074.30138.20121.10119.0079.60119.50
Pretax Income50.7030.20(88.40)62.20(142.70)26.808.80(137.90)(334.60)(71.90)(154.00)32.1047.7064.1019.7095.8076.5077.6036.30(9.00)
Tax Provision10.906.80(23.30)21.403.806.30(7.80)(30.70)(50.90)(15.90)(37.20)6.9012.2013.404.1020.4016.7016.807.00(4.80)
Net Income35.3059.80(84.60)43.50(146.50)20.5016.60(107.20)(283.70)(56.00)(116.80)25.2035.5050.7015.6075.4059.8060.8029.30(4.20)
Basic EPS1.021.70(2.35)1.20(4.02)0.560.45(2.95)(7.81)(1.54)(3.19)0.700.981.360.441.991.551.560.76(0.11)
Diluted EPS1.001.66(2.33)1.18(4.02)0.560.45(2.95)(7.81)(1.54)(3.16)0.690.971.350.431.981.541.550.76(0.11)

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 Flow(13.80)(2.00)97.10129.7079.0025.4064.5046.5029.70(12.10)44.60106.9048.405.2098.20100.1090.5024.3076.00100.10
Capital Expenditures10.3010.3023.6011.9012.2010.0024.9018.0034.7016.6029.2033.5021.7025.4049.2036.1029.6027.6037.4025.50
Free Cash Flow*(24.10)(12.30)73.50117.8066.8015.4039.6028.50(5.00)(28.70)15.4073.4026.70(20.20)49.0064.0060.90(3.30)38.6074.60
Investing Cash Flow75.40106.30(15.10)(28.10)(2.80)(11.50)(28.00)(17.40)(17.80)(16.30)(21.00)(34.80)(23.40)1.90(409.20)(86.10)(28.40)(30.20)(57.20)(26.20)
Financing Cash Flow(37.60)(61.80)(83.40)(94.80)(63.00)(11.00)(97.60)(6.30)10.3023.40(6.50)(53.30)(34.50)(5.60)313.00(71.60)(147.00)(46.30)(12.80)(36.70)

* Derived from reported values