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Financial Statements — RDIB

Balance Sheet

(in millions USD)
MetricQ2 2026Q1 2026Q3 2025Q2 2025Q1 2025Q3 2024Q2 2024Q1 2024Q3 2023Q2 2023Q1 2023Q3 2022Q2 2022Q1 2022Q3 2021Q2 2021Q1 2021
Cash & Equivalents5.685.528.099.075.9110.089.247.5011.9315.5114.6339.6349.9167.2690.89111.7540.92
Short-term Investments0.010.010.010.010.020.020.020.020.020.020.020.020.020.020.030.030.03
Accounts Receivable5.634.272.783.371.405.447.657.105.785.454.864.605.283.362.572.802.49
Inventory1.741.631.661.521.441.711.351.321.491.521.421.361.471.351.121.100.90
Total Current Assets47.1144.8318.8121.2733.1459.0558.6520.2841.5346.2632.8558.6974.4383.52105.49131.4679.96
Property, Plant & Equipment181.13182.96210.53213.34212.36225.07225.47253.81261.61267.56281.89281.91292.37306.69306.61316.75317.15
Goodwill24.8624.8224.5824.8723.8725.7225.0224.6724.6025.0525.2724.1325.5327.2326.7827.2727.45
Intangible Assets1.521.551.711.741.771.841.901.942.112.202.292.552.783.063.473.744.00
Total Non-current Assets*382.30386.65416.38416.80407.83436.64436.20474.58491.07505.99527.35531.03553.15587.09589.68600.97588.07
Total Assets429.41431.48435.19438.08440.97495.69494.86494.86532.60552.24560.20589.72627.58670.62695.16732.43668.03
Accounts Payable56.4959.5455.0351.3548.7448.2147.8647.8341.9039.4440.4238.5039.9440.0640.5156.7644.52
Short-term Debt108.0035.5016.5038.2053.7052.6058.6041.9058.6048.5048.10------------
Total Current Liabilities204.49130.95111.49130.45141.85143.11151.90134.85127.19128.20127.05138.91151.84139.14100.67120.1292.96
Total Non-current Liabilities*248.07325.92336.71316.05307.80351.54336.89342.28363.35376.47382.18381.58393.51437.99490.92495.11479.33
Total Liabilities452.55456.87448.20446.50449.65494.66488.79477.13490.54504.68509.23520.48545.36577.12591.59615.23572.28
Retained Earnings(134.81)(137.08)(126.37)(122.21)(119.54)(112.55)(105.52)(92.72)(67.10)(62.70)(59.93)(35.60)(30.42)(27.99)(12.98)(2.89)(25.59)
Total Stockholder Equity(23.34)(25.54)(12.06)(7.68)(8.06)1.606.5318.0042.0047.4450.7668.5481.3992.63102.58116.1094.54

* 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 Revenue66.9045.1250.2752.1760.3840.1758.5860.0946.8145.0545.3266.5665.0645.8147.2151.2064.5140.2049.9231.80
Selling, General & Admin4.404.754.114.665.385.154.534.935.275.424.485.415.115.184.055.266.315.805.905.27
Operating Income7.48(3.63)(0.98)(0.33)2.89(6.89)1.53(0.34)(7.69)(7.53)(6.96)1.021.79(7.88)(8.40)(6.73)(1.57)(11.78)(4.33)(10.95)
Interest Expense4.324.234.664.174.354.745.255.255.385.295.365.074.874.124.153.693.343.213.253.07
Pretax Income3.81(8.28)(2.82)(3.99)(1.58)(5.41)(2.19)(6.44)(13.16)(13.63)(12.26)(3.57)(2.96)(11.80)(14.14)(4.97)(0.90)(15.83)(6.08)(11.09)
Tax Provision1.50(0.14)(0.22)0.321.23(0.47)0.160.70(0.16)(0.22)0.280.90(0.10)(0.48)(0.67)0.331.54(0.38)(6.44)(0.89)
Net Income2.27(8.15)(2.56)(4.16)(2.67)(4.75)(2.24)(7.03)(12.81)(13.23)(12.38)(4.40)(2.78)(11.11)(13.22)(5.18)(2.44)(15.35)0.35(10.10)
Basic EPS0.10(0.36)(0.11)(0.18)(0.12)(0.21)(0.26)(0.31)(0.57)(0.59)(0.56)(0.20)(0.12)(0.50)(0.60)(0.23)(0.11)(0.70)0.01(0.46)
Diluted EPS0.10(0.36)(0.11)(0.18)(0.12)(0.21)(0.26)(0.31)(0.57)(0.59)(0.56)(0.20)(0.12)(0.50)(0.60)(0.23)(0.11)(0.70)0.01(0.46)

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 Flow3.15(2.47)4.280.301.55(7.70)7.991.34(10.39)(2.77)(3.37)2.442.74(11.55)(0.24)(8.56)(3.49)(14.06)4.26(11.78)
Capital Expenditures0.870.520.160.540.380.250.972.400.251.93(1.72)2.761.901.533.002.731.921.744.047.05
Free Cash Flow*2.28(2.98)4.12(0.25)1.17(7.95)7.02(1.06)(10.64)(4.70)(1.65)(0.32)0.84(13.08)(3.24)(11.28)(5.41)(15.80)0.22(18.83)
Investing Cash Flow(0.87)(0.55)(0.22)(0.48)19.9317.88(1.03)(2.41)(0.24)7.643.49(2.76)(1.90)(1.53)(3.07)(2.72)(1.92)(1.77)2.10(2.69)
Financing Cash Flow(2.17)(2.25)(1.71)(1.29)(18.03)(16.85)(1.79)1.0012.35(11.22)(2.78)(3.17)0.70(1.41)(8.61)(3.70)(2.64)(1.61)(9.33)(4.11)

* Derived from reported values