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Financial Statements — SWAGW

Balance Sheet

(in millions USD)
MetricQ2 2026Q1 2026Q3 2025Q2 2025Q1 2025Q3 2024Q2 2024Q1 2024Q3 2023Q2 2023Q1 2023Q3 2022Q2 2022Q1 2022Q3 2021
Cash & Equivalents7.417.656.7013.074.2410.0411.8710.679.4415.2710.6012.3028.2040.000.80
Short-term Investments5.195.125.065.007.946.939.6010.7110.2610.2810.279.68------
Accounts Receivable20.2717.4416.6322.0618.3013.7512.0214.2116.5313.9611.9110.3011.349.847.27
Inventory10.788.557.746.747.664.773.974.236.905.825.677.125.966.153.91
Total Current Assets47.0442.9339.3350.1342.2338.6440.8542.0448.2349.6341.5240.6946.9157.7113.11
Property, Plant & Equipment1.621.781.951.621.681.731.721.661.411.291.190.800.700.650.60
Goodwill2.322.322.322.322.322.54--0.09--------------
Intangible Assets----3.813.934.044.302.943.0310.3110.715.655.463.984.111.98
Total Non-current Assets*9.8110.2310.9311.099.9310.185.743.1513.0713.487.627.135.625.783.75
Total Assets56.8553.1650.2661.2252.1648.8146.6047.9561.3063.1149.1547.8152.5363.4916.86
Accounts Payable11.219.997.469.518.996.193.883.354.863.012.942.851.794.005.80
Total Current Liabilities23.9519.5617.3226.6219.2414.9210.6610.6416.9219.498.406.6010.4718.7012.99
Long-term Debt------------------0.760.46--------
Total Non-current Liabilities1.432.202.752.761.651.591.652.065.745.652.052.741.862.191.99
Total Liabilities*25.3821.7620.0729.3820.8916.5112.3112.7022.6725.1410.459.3412.3320.9014.97
Retained Earnings(6.44)(6.74)(7.73)(6.49)(7.13)(6.16)(4.12)(3.09)0.24(0.45)0.390.180.871.321.89
Total Stockholder Equity31.4731.4030.2031.8331.2732.3034.2835.2538.6437.9738.7038.4740.2042.591.89

* 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 Revenue33.3631.2528.9425.9832.5828.6926.9920.1416.6918.8323.4519.3017.4715.7818.3113.5814.8112.2612.6310.95
Cost of Revenue23.3421.6120.1318.9122.7120.2118.2114.1911.2313.2114.7412.9312.3911.0812.979.3311.059.048.957.22
Gross Profit10.029.648.817.079.878.488.785.955.475.618.716.375.084.695.344.253.763.223.673.72
Selling, General & Admin9.949.008.848.859.479.029.728.146.586.286.945.946.356.084.924.904.234.024.032.68
Total Operating Expenses9.949.008.848.859.479.029.728.146.586.287.755.946.356.084.924.904.234.023.942.69
Operating Income0.090.65(0.04)(1.78)0.40(0.53)(0.94)(2.18)(1.11)(0.66)0.960.43(1.27)(1.39)0.42(0.65)(0.47)(0.81)(0.27)1.04
Interest Expense------------------------------0.010.000.000.07--
Pretax Income0.330.790.36(1.31)0.76(0.43)(0.59)(2.04)(1.02)(0.49)0.970.89(1.15)(1.06)0.60(0.86)(0.49)(0.72)(0.41)1.02
Tax Provision0.020.050.12(0.07)0.11(0.04)0.00-0.000.00--0.500.21(0.31)(0.36)(0.31)(0.17)(0.04)(0.18)(0.38)0.29
Net Income0.310.740.24(1.24)0.64(0.39)(0.59)(2.04)(1.02)(0.49)0.460.68(0.84)(0.69)0.90(0.69)(0.45)(0.55)(0.03)0.72
Basic EPS0.020.040.02(0.07)0.03(0.02)(0.02)(0.11)(0.06)(0.03)0.050.04(0.05)(0.04)0.04(0.03)(0.02)(0.03)0.00--
Diluted EPS0.020.040.02(0.07)0.03(0.02)(0.02)(0.11)(0.06)(0.03)0.050.04(0.05)(0.04)0.01(0.02)(0.01)(0.02)(0.01)--

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 Flow0.381.180.16(5.37)6.43(5.89)1.33(2.74)2.112.060.83(5.71)5.92(3.59)4.10(3.91)(9.71)7.10(3.94)(1.89)
Capital Expenditures0.020.000.120.500.080.120.090.140.180.190.200.79----0.280.160.100.090.070.31
Free Cash Flow*0.361.180.04(5.87)6.35(6.01)1.24(2.88)1.931.870.63(6.51)----3.83(4.07)(9.81)7.01(4.02)(2.21)
Investing Cash Flow(0.09)(0.25)0.10(0.57)2.900.81(2.05)1.110.98(0.57)(1.91)(0.10)(1.04)(0.68)(0.83)(10.09)(0.10)(0.63)----
Financing Cash Flow(0.53)(0.04)(0.21)(0.43)(0.49)(0.04)0.04(0.21)(0.70)(0.06)(0.30)(0.02)(0.20)(0.38)(0.32)(1.91)(1.99)1.3135.452.36

* Derived from reported values