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Financial Statements — SYNA

Balance Sheet

(in billions USD)
MetricQ3 2026Q2 2026Q1 2026Q3 2025Q2 2025Q1 2025Q3 2024Q2 2024Q3 2023Q1 2023Q2 2022Q1 2022Q3 2021Q2 2021Q1 2021
Cash & Equivalents0.400.440.460.360.600.850.830.850.900.800.820.870.690.500.35
Short-term Investments0.000.000.000.06----0.000.000.040.020.040.040.060.070.06
Accounts Receivable0.160.130.120.130.150.140.140.130.220.110.260.280.300.310.27
Inventory0.160.160.140.130.120.120.110.130.150.130.180.180.150.130.09
Total Current Assets0.760.770.750.710.891.141.121.151.331.111.321.411.251.070.75
Property, Plant & Equipment0.080.080.080.070.080.080.070.070.070.070.070.060.060.060.09
Goodwill0.870.870.870.870.820.820.820.820.820.820.820.810.810.830.57
Intangible Assets0.210.240.270.300.240.260.250.270.330.290.330.360.410.450.28
Total Non-current Assets*1.771.791.831.841.641.651.421.431.380.041.401.411.451.491.03
Total Assets2.522.562.582.552.532.792.542.572.712.552.732.822.702.571.78
Accounts Payable0.080.100.090.090.080.080.070.080.060.060.080.130.140.130.11
Total Current Liabilities0.250.260.260.250.230.250.210.250.270.250.300.370.390.370.30
Long-term Debt0.840.840.840.830.830.970.970.970.970.970.970.970.980.980.39
Total Non-current Liabilities*0.920.920.910.920.921.071.091.101.121.101.131.131.151.140.48
Total Liabilities1.161.181.181.171.151.321.301.351.391.341.421.501.541.500.78
Retained Earnings1.151.151.171.191.221.211.031.051.141.061.131.100.960.890.82
Total Stockholder Equity1.361.381.401.391.381.471.241.221.321.201.301.331.161.061.00

* Derived from reported values

Income Statement

(in millions USD) (except per-share rows)
MetricQ4 2026Q3 2026Q2 2026Q1 2026Q4 2025Q3 2025Q2 2025Q1 2025Q4 2024Q3 2024Q2 2024Q4 2023Q3 2023Q1 2023Q4 2022Q2 2022Q1 2022Q4 2021Q3 2021Q2 2021
Total Revenue308.00294.20302.50292.50282.80266.60267.20257.70247.40237.30237.00227.30326.60237.70476.40353.10448.10327.80470.10420.50
Cost of Revenue162.20160.90170.80167.90161.30150.80145.00136.80134.00127.00128.00126.10154.30130.60210.30166.40192.40157.00216.30195.40
Gross Profit145.80133.30131.70124.60121.50115.80122.20120.90113.40110.30109.00101.20172.30107.10266.10186.70255.70170.80253.80225.10
Research & Development97.8094.5095.1094.4093.6088.6083.3081.3084.4083.4082.0084.5087.9086.5094.1089.3089.5077.7098.2088.90
Selling, General & Admin54.7049.6047.8046.2046.1034.7049.5050.0038.8040.5039.7046.2041.7042.3038.3042.4044.7033.3044.2044.30
Total Operating Expenses161.90146.00146.80147.80145.70142.10137.40149.30144.50127.70126.90139.20138.10142.30142.00140.60143.70119.90165.70147.50
Operating Income(16.10)(12.70)(15.10)(23.20)(24.20)(26.30)(15.20)(28.40)(31.10)(17.40)(17.90)(38.00)34.20(35.20)124.1046.10112.0050.9088.1077.60
Interest Expense--------------11.7029.4011.9012.0029.3011.3011.80--7.706.9028.604.501.40
Pretax Income(24.00)(15.20)(17.50)(22.70)(25.80)(27.40)(26.00)(34.30)(36.70)(23.30)(24.00)(44.30)27.20(40.60)115.2039.40103.7041.7086.8071.90
Tax Provision423.40(7.20)(2.70)(2.10)(21.10)(5.60)(27.80)(11.20)(245.00)(5.20)(15.00)(20.90)16.8015.0032.3017.4039.1015.0024.402.00
Net Income(447.40)(8.00)(14.80)(20.60)(4.70)(21.80)1.80(23.10)208.30(18.10)(9.00)(23.40)10.40(55.60)82.9022.0064.6019.0064.9069.50
Basic EPS--(0.21)(0.38)(0.53)(0.13)(0.56)0.05(0.58)5.32(0.46)(0.23)(0.58)0.26(1.43)2.130.551.620.551.641.76
Diluted EPS--(0.21)(0.38)(0.53)(0.13)(0.56)0.05(0.58)5.28(0.46)(0.23)(0.58)0.26(1.43)2.040.551.590.451.591.71

Cash Flow Statement

(in millions USD)
MetricQ4 2026Q3 2026Q2 2026Q1 2026Q4 2025Q3 2025Q2 2025Q1 2025Q4 2024Q3 2024Q2 2024Q4 2023Q3 2023Q1 2023Q2 2022Q1 2022Q4 2021Q3 2021Q2 2021Q1 2021
Operating Cash Flow67.6021.8029.8030.2057.2073.4022.80(11.40)65.00(13.70)84.6094.50237.0045.4050.0078.50104.90127.70122.4058.30
Capital Expenditures12.3011.9011.6012.206.605.404.709.107.709.0017.105.2029.006.709.106.205.6013.708.504.70
Free Cash Flow*55.309.9018.2018.0050.6068.0018.10(20.50)57.30(22.70)67.5089.30208.0038.7040.9072.3099.30114.00113.9053.60
Investing Cash Flow(12.30)(11.90)(11.60)48.80(8.90)(274.40)(5.50)(9.10)(11.00)(6.90)(139.80)22.10(28.10)(150.10)--2.30(5.60)55.40(520.10)(4.70)
Financing Cash Flow(17.60)(42.80)(40.70)(10.40)(18.40)(34.80)(274.70)(3.50)(4.70)3.50(23.90)(87.10)(134.20)(18.10)(80.00)(35.00)(19.90)5.20553.80(542.10)

* Derived from reported values