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Financial Statements — RGTIW

Balance Sheet

(in millions USD)
MetricQ2 2026Q1 2026Q3 2025Q2 2025Q1 2025Q3 2024Q2 2024Q1 2024Q3 2023Q2 2023Q1 2023Q3 2022Q2 2022Q1 2022Q3 2021Q2 2021Q1 2021
Cash & Equivalents27.7648.1526.1357.1837.1620.2920.6835.1041.7621.7126.1273.84184.02206.63------
Short-term Investments------------------83.7795.8587.19----------
Accounts Receivable3.874.382.281.751.076.385.234.713.007.635.322.302.571.26------
Total Current Assets414.39432.21456.29433.58214.36103.87109.67110.04116.70117.53130.26169.62192.38215.181.271.621.80
Property, Plant & Equipment75.3057.5954.0748.8746.1044.8445.6544.6140.3541.3642.5837.4430.5823.94------
Goodwill----------------------5.385.385.38------
Total Non-current Assets*233.84218.48173.98203.1154.7853.3852.7552.0748.5150.0451.6443.0636.2130.72345.01345.01345.00
Total Assets648.23650.68630.27636.69269.14157.25162.41162.12165.20167.57181.91212.69228.59245.90346.28346.62346.80
Accounts Payable14.004.073.282.163.401.601.843.821.450.951.661.731.523.450.150.050.07
Short-term Debt----------11.2513.0412.8111.5210.679.696.834.232.37------
Total Current Liabilities105.0661.8811.6310.4311.3921.4625.5624.8823.0421.3522.9916.3112.8713.051.000.770.46
Long-term Debt----------2.063.366.5013.11----32.0032.0032.00------
Total Non-current Liabilities*5.745.21246.8173.0050.6212.9514.6921.6629.4727.8529.4530.4845.6268.8822.5427.7725.81
Total Liabilities110.8067.09258.4583.4362.0134.4140.2546.5452.5149.2152.4446.7858.4981.9223.5328.5326.27
Retained Earnings(790.45)(737.85)(752.75)(551.78)(512.13)(401.79)(386.95)(374.53)(341.19)(318.97)(302.01)(255.78)(237.02)(224.77)(22.25)(3.62)(1.17)
Total Stockholder Equity537.43583.60371.83553.26207.13122.84122.16115.58112.69118.36129.47165.91170.10163.98(22.25)5.005.00

* 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 Revenue5.144.401.871.951.801.472.272.383.093.053.383.113.332.206.062.802.132.10----
Cost of Revenue2.953.021.221.541.241.031.271.171.101.550.860.830.600.510.810.780.870.41----
Gross Profit2.191.380.650.400.570.441.001.201.991.502.522.272.731.695.252.031.261.69----
Research & Development20.7319.9617.3515.0213.5215.4613.6612.7511.8711.4712.7913.0613.2213.7115.9117.3612.7513.93----
Selling, General & Admin9.527.37--5.936.936.625.845.806.216.617.466.055.758.499.2614.0312.7911.563.710.57
Total Operating Expenses30.2527.3323.2520.9520.4522.0719.5018.5518.0818.0919.7219.1018.9723.7131.9833.3527.0226.96----
Operating Income(28.06)(25.95)(22.60)(20.55)(19.88)(21.63)(18.49)(17.35)(16.08)(16.58)(17.21)(16.83)(16.24)(22.02)(26.73)(31.32)(25.76)(25.27)(3.71)(0.57)
Interest Expense------------------1.111.271.471.571.461.481.44--------
Pretax Income(52.61)33.11(18.21)(200.97)(39.65)42.62(152.96)(14.83)(12.42)(20.77)(12.57)(22.21)(16.97)(23.35)(22.87)(18.75)(12.25)(17.64)----
Tax Provision--------0.000.000.000.000.000.000.000.000.000.000.000.000.000.00----
Net Income(52.61)33.11(18.21)(200.97)(39.65)42.62(152.96)(14.83)(12.42)(20.77)(12.57)(22.21)(16.97)(23.35)(22.87)(18.75)(12.25)(17.64)(24.23)4.66
Basic EPS(0.16)0.10(0.10)(0.62)(0.13)0.15(0.80)(0.08)(0.07)(0.14)(0.08)(0.17)(0.13)(0.19)(0.19)(0.16)(0.11)(0.33)----
Diluted EPS(0.16)(0.06)(0.08)(0.62)(0.13)0.13(0.81)(0.28)(0.07)(0.14)(0.08)(0.17)(0.13)(0.19)(0.19)(0.16)(0.11)(0.33)----

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(15.78)(16.22)(14.90)(13.82)(16.17)(13.65)(8.54)(15.43)(13.52)(13.14)(12.42)(4.54)(18.07)(15.55)(14.21)(13.40)(19.36)(15.72)(0.31)(0.09)
Capital Expenditures11.994.414.575.895.672.551.282.282.055.491.551.780.934.803.448.667.802.84----
Free Cash Flow*(27.77)(20.63)(19.47)(19.71)(21.84)(16.20)(9.83)(17.70)(15.56)(18.63)(13.97)(6.32)(19.00)(20.35)(17.65)(22.05)(27.16)(18.56)----
Investing Cash Flow(4.82)19.81(13.62)(19.98)(346.12)(23.61)(77.59)6.27(13.25)6.22(10.75)14.2912.22(14.99)(0.54)(95.84)(7.80)(2.84)0.000.00
Financing Cash Flow0.400.0847.172.82382.166.94133.678.6912.3820.712.6910.261.44(1.15)(1.63)(0.68)4.32213.45(0.08)(0.22)

* Derived from reported values