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Financial Statements — OSS

Balance Sheet

(in millions USD)
MetricQ2 2026Q1 2026Q3 2025Q2 2025Q1 2025Q3 2024Q2 2024Q1 2024Q3 2023Q2 2023Q1 2023Q3 2022Q2 2022Q1 2022Q3 2021Q2 2021Q1 2021
Cash & Equivalents17.2824.346.518.466.509.406.756.903.746.103.473.182.872.223.963.9819.61
Short-term Investments14.1310.03--1.032.623.185.025.969.449.329.229.5411.5113.5414.5314.52--
Accounts Receivable8.345.3112.027.117.259.338.437.418.989.2310.1111.3910.019.085.816.535.73
Inventory13.866.7715.3314.6015.1015.3020.1521.4822.2321.4623.6420.0920.4716.4314.3612.419.55
Total Current Assets54.1749.3936.0032.4232.6438.1741.8242.5845.0547.3447.8845.2345.9642.3239.7838.4335.79
Property, Plant & Equipment0.430.511.521.441.471.862.002.252.262.432.452.592.692.873.093.223.37
Goodwill----1.491.491.491.491.491.491.494.427.127.127.127.127.127.127.12
Intangible Assets0.080.07--------------0.010.030.060.070.090.170.330.50
Total Non-current Assets*1.671.787.066.964.465.505.595.736.477.4810.2714.4014.5114.7714.0214.2114.67
Total Assets55.8451.1743.0639.3837.1143.6747.4148.3151.5154.8258.1559.6360.4757.0953.8052.6450.46
Accounts Payable6.181.796.034.104.484.062.862.673.232.815.735.066.334.393.854.152.74
Total Current Liabilities16.094.6512.879.259.5611.499.258.2510.6311.4013.1212.2313.0510.8811.6011.489.85
Long-term Debt------------------3.013.203.253.662.224.334.375.33
Total Non-current Liabilities*1.121.193.853.921.501.551.621.691.730.290.601.061.440.790.000.001.64
Total Liabilities17.215.8316.7213.1711.0613.0510.869.9412.3611.6813.7313.2914.4811.6711.6011.4811.49
Retained Earnings(24.80)(17.49)(25.83)(26.09)(24.07)(18.92)(12.10)(9.76)(8.14)(4.50)(2.10)1.561.431.110.96(0.02)(1.72)
Total Stockholder Equity*38.6345.3426.3426.2026.0530.6236.5538.3739.1543.1444.4246.3545.9845.4242.2141.1638.97

* 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 Revenue9.358.07(12.91)18.7614.1112.2615.1413.7013.2012.6513.1613.7517.2116.7818.2518.8218.3017.0517.7815.98
Cost of Revenue5.703.90(13.79)12.069.708.2612.7615.429.878.938.7210.1012.4111.7113.2713.7413.1011.9112.7410.47
Gross Profit3.654.170.886.694.414.002.38(1.72)3.333.724.433.654.805.074.985.085.205.145.045.52
Research & Development0.850.821.111.451.521.361.250.950.930.971.131.050.951.201.091.161.251.241.191.00
Selling, General & Admin2.452.440.262.342.392.372.412.062.412.091.971.943.072.291.791.891.821.771.931.92
Total Operating Expenses11.324.841.066.126.245.945.495.025.594.994.777.638.215.274.634.914.804.495.114.49
Operating Income(7.67)(0.67)(0.18)0.57(1.82)(1.94)(3.11)(6.73)(2.25)(1.26)(0.33)(3.98)(3.41)(0.20)0.350.160.400.65(0.07)1.03
Interest Expense----(0.04)0.020.010.010.00--0.020.040.030.030.020.030.030.030.040.060.080.13
Pretax Income(7.32)(0.36)0.090.53(1.80)(1.91)(2.98)(6.65)(2.13)(1.15)(0.24)(3.41)(2.00)(0.14)0.870.170.410.74(0.08)0.98
Tax Provision----(0.59)0.270.220.110.160.170.210.190.040.230.400.264.140.040.090.170.31-0.00
Net Income(7.32)(0.52)8.860.26(2.02)(2.02)(3.13)(6.82)(2.34)(1.34)(0.28)(3.64)(2.40)(0.40)(3.26)0.130.320.58(0.39)0.98
Basic EPS(0.29)(0.02)0.400.01(0.09)(0.09)(0.16)(0.32)(0.11)(0.06)0.00(0.18)(0.12)(0.02)(0.17)0.010.020.03(0.01)0.05
Diluted EPS(0.29)(0.02)0.390.01(0.09)(0.09)(0.16)(0.32)(0.11)(0.06)0.00(0.18)(0.12)(0.02)(0.17)0.010.020.03(0.02)0.05

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(4.67)4.04--(3.42)(0.37)(1.14)(2.25)0.92(0.82)2.04(0.67)(1.82)2.020.020.87(1.10)(2.56)(5.02)2.330.51
Capital Expenditures0.110.02(0.35)0.290.160.010.060.090.040.170.450.070.210.090.240.140.060.090.250.11
Free Cash Flow*(4.78)4.03--(3.72)(0.53)(1.15)(2.32)0.82(0.85)1.88(1.11)(1.90)1.81(0.06)0.62(1.24)(2.61)(5.10)2.070.40
Investing Cash Flow------0.731.430.58(0.10)1.750.901.641.22(0.20)(0.33)0.83(0.81)1.841.851.03(0.27)(0.12)
Financing Cash Flow------0.820.570.13(0.04)(0.13)(0.21)(0.80)(0.31)(0.28)0.94(0.53)(0.29)(0.37)1.481.13(0.80)(0.40)

* Derived from reported values