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Financial Statements — ORGO

Balance Sheet

(in millions USD)
MetricQ2 2026Q1 2026Q3 2025Q2 2025Q1 2025Q3 2024Q2 2024Q1 2024Q3 2023Q2 2023Q1 2023Q3 2022Q2 2022Q1 2022Q3 2021Q2 2021Q1 2021
Cash & Equivalents46.1091.3863.7573.08109.9794.3489.9088.6398.2388.9288.69107.25112.28107.90102.7290.3177.96
Accounts Receivable100.94116.91168.78120.38103.32101.27105.9596.1589.2893.6292.0293.1288.8279.4874.5876.7772.00
Inventory29.2828.4339.5833.0429.3427.0426.8827.6927.9125.3625.5424.6823.2422.7429.5028.1129.72
Total Current Assets200.30268.50299.75260.22268.16238.51234.19227.17225.57216.44216.82230.53231.54217.85211.84201.76185.24
Property, Plant & Equipment101.53104.0878.0675.6175.5289.8789.95114.25117.50111.83106.6497.0193.2984.2774.7769.7462.43
Goodwill28.7728.7728.7728.7728.7728.7728.7728.7728.7728.7728.7728.7728.7728.7728.7728.7728.77
Intangible Assets3.003.449.9410.7911.6313.3014.1414.9717.1018.3319.5622.0123.2324.4526.9028.1429.38
Total Non-current Assets*206.14251.49210.08200.91199.23207.79208.97231.31237.07233.88229.29226.75224.81218.42158.59153.80133.94
Total Assets406.45519.99509.83461.13467.39446.30443.16458.48462.65450.31446.11457.27456.36436.27370.42355.56319.18
Accounts Payable29.2928.6240.2229.7224.6623.9729.3923.2326.7827.3930.3137.9536.3727.9428.4926.7923.88
Total Current Liabilities56.9676.0290.3265.8465.0577.2885.7382.8081.4873.4676.0889.2788.2376.7981.0084.5574.01
Long-term Debt----------62.3463.7565.1667.9769.3870.3173.1373.1373.5974.5370.0070.00
Total Non-current Liabilities*61.3562.6233.5334.0734.2790.4793.9497.65104.30105.58106.33111.67113.74116.25100.2592.1087.88
Total Liabilities118.31138.65123.8599.9199.33167.75179.66180.45185.78179.03182.41200.94201.97193.04181.25176.64161.89
Retained Earnings(152.50)(56.23)(46.78)(68.34)(58.95)(47.78)(60.11)(43.07)(40.40)(43.57)(48.88)(52.79)(53.00)(60.05)(111.83)(120.13)(140.82)
Total Stockholder Equity148.27244.56255.13233.24242.90278.55263.50278.03276.87271.28263.70256.33254.39243.23189.17178.92157.29

* 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 Revenue43.7637.23225.61150.86101.0186.69126.66115.18130.23109.9899.65108.53117.32107.64114.52116.86121.4098.12128.56113.75
Cost of Revenue----------23.7231.0526.8029.2028.7027.7725.7926.3226.6127.1126.1826.6525.0832.6026.17
Gross Profit----------62.9795.6188.38101.0481.2871.8882.7491.0081.0487.4190.6894.7573.0495.9687.59
Research & Development18.3015.1610.2913.2210.4010.6411.5310.3415.5912.8111.7710.4710.9411.2011.409.5710.218.598.268.95
Selling, General & Admin53.9765.19100.1779.7473.8172.5173.8671.8076.5472.3261.3864.2270.3273.8368.2979.3372.6163.5867.2562.37
Total Operating Expenses94.75106.12186.04130.14113.5889.7285.3982.14114.9385.1373.1574.6981.2685.0479.6988.9082.8172.1775.5171.32
Operating Income(50.99)(68.89)63.2920.73(12.58)(26.75)10.226.24(13.89)(3.85)(1.27)8.059.74(4.00)7.721.7811.940.8720.4516.26
Interest Expense----------------0.620.510.500.440.590.65(0.03)0.570.730.740.851.48
Pretax Income(50.88)(68.47)63.4321.16(11.83)(25.78)10.255.82(14.54)(4.34)(1.80)7.649.18(4.63)7.751.2111.180.1319.5912.88
Tax Provision45.39(15.32)19.73(0.41)(2.44)(6.94)2.58(6.51)2.50(2.24)(1.23)4.473.86(1.66)1.271.002.440.05(32.11)0.30
Net Income(96.27)(53.16)43.7021.57(9.39)(18.84)7.6712.33(17.04)(2.10)(0.57)3.175.32(2.97)6.490.228.740.0951.7012.58
Basic EPS(0.77)(0.44)0.320.11(0.10)(0.17)0.050.09(0.13)(0.02)0.000.020.04(0.02)0.050.000.070.000.400.10
Diluted EPS(0.77)(0.44)0.310.11(0.10)(0.17)0.050.09(0.13)(0.02)0.000.020.04(0.02)0.050.000.070.000.400.09

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(31.65)21.1339.423.08(32.87)(19.93)10.948.704.74(10.16)10.6116.748.65(5.08)7.805.4510.201.4117.9527.85
Capital Expenditures1.103.154.652.243.643.633.362.571.882.223.325.987.507.5610.6610.406.176.675.2316.70
Free Cash Flow*(32.75)17.9834.770.84(36.51)(23.56)7.586.132.86(12.38)7.2910.761.15(12.64)(2.86)(4.95)4.03(5.26)12.7211.15
Investing Cash Flow(1.10)(3.15)(4.65)(2.23)(3.64)(3.63)(3.36)(2.57)(1.88)(2.22)(3.32)(5.98)(7.50)(7.56)(10.66)(10.40)(6.17)(6.67)(5.23)(16.70)
Financing Cash Flow(12.50)(20.21)(4.81)(10.21)(0.29)(2.06)33.65(1.68)(1.73)(2.61)(1.78)(1.44)(1.05)(1.24)(1.87)0.030.42(0.76)(0.92)1.27

* Derived from reported values