1784.TWO

BIONET Corp. 1784.TWO

Finances

2024 2023 2022 2021 2020 2019
Revenue 1.222 B 8.40 % 1.127 B 14.99 % 980.377 M 6.40 % 921.420 M 14.24 % 806.575 M 4.00 % 775.558 M
Net income 83.702 M 6.76 % 78.399 M 106.47 % 37.971 M 42.62 % 26.624 M 108.96 % 12.741 M 87.29 % 6.803 M
Income before tax 102.240 M -4.52 % 107.084 M 51.99 % 70.456 M 71.06 % 41.189 M 541.37 % 6.422 M -75.07 % 25.763 M
Income before tax ratio 0.08 -11.92 % 0.09 32.18 % 0.07 60.77 % 0.04 461.43 % 0.01 -76.03 % 0.03
EBITDA 149.085 M 1.35 % 147.099 M 29.07 % 113.968 M 41.73 % 80.413 M 79.44 % 44.813 M 29.13 % 34.705 M
Net income ratio 0.07 -1.51 % 0.07 79.56 % 0.04 34.04 % 0.03 82.92 % 0.02 80.08 % 0.01
Ratio EBITDA 0.12 -6.51 % 0.13 12.25 % 0.12 33.21 % 0.09 57.08 % 0.06 24.16 % 0.04
Gross profit ratio 0.56 -0.89 % 0.57 2.37 % 0.55 1.30 % 0.55 6.90 % 0.51 -6.03 % 0.54
Weighted average shs out dil 50.839 M 0.51 % 50.580 M 6.73 % 47.390 M -0.54 % 47.645 M 0.14 % 47.579 M -6.68 % 50.987 M
Weighted average shs out 50.645 M 0.13 % 50.580 M 7.06 % 47.243 M -0.61 % 47.535 M 0.05 % 47.513 M -8.72 % 52.051 M
EPS diluted 1.65 6.45 % 1.55 93.75 % 0.80 42.86 % 0.56 107.41 % 0.27 107.69 % 0.13
Earnings per share 1.65 6.45 % 1.55 93.75 % 0.80 42.86 % 0.56 107.41 % 0.27 107.69 % 0.13
Gross profit 685.767 M 7.44 % 638.277 M 17.72 % 542.219 M 7.78 % 503.071 M 22.12 % 411.959 M -2.27 % 421.546 M
Income tax expense 32.375 M 26.04 % 25.687 M 52.31 % 16.865 M 97.32 % 8.547 M 65.10 % 5.177 M 4.86 % 4.937 M
Cost of revenue 536.263 M 9.66 % 489.027 M 11.61 % 438.158 M 4.74 % 418.349 M 6.01 % 394.616 M 11.47 % 354.012 M
General and administrative expenses 176.025 M 27.85 % 137.680 M 6.64 % 129.113 M -7.70 % 139.888 M 12.26 % 124.616 M 8.96 % 114.370 M
Selling and marketing expenses 307.727 M 4.12 % 295.550 M 12.44 % 262.841 M 6.81 % 246.080 M 3.44 % 237.894 M -5.43 % 251.555 M
Other expenses 0.000 0.000 0.000 0.000 -100.00 % 4.170 M 0.000
Operating expenses 622.770 M 12.50 % 553.584 M 14.79 % 482.253 M 2.27 % 471.537 M 13.63 % 414.958 M 0.39 % 413.356 M
Cost and expenses 1.159 B 11.17 % 1.043 B 13.28 % 920.411 M 3.43 % 889.886 M 9.92 % 809.574 M 5.50 % 767.368 M
Research and development expenses 139.018 M 17.07 % 118.750 M 31.51 % 90.299 M 5.53 % 85.569 M 63.15 % 52.448 M 12.09 % 46.790 M
Selling general and administrative expenses 483.752 M 11.66 % 433.230 M 10.53 % 391.954 M 1.55 % 385.968 M 6.47 % 362.510 M -1.11 % 366.566 M
Interest income 21.702 M 74.10 % 12.465 M 82.80 % 6.819 M 30.28 % 5.234 M -18.14 % 6.394 M -24.80 % 8.503 M
Interest expense 1.279 M 211.95 % 410.000 K -10.48 % 458.000 K 17.74 % 389.000 K 18.24 % 329.000 K -45.98 % 609.000 K
Depreciation and amortization 45.566 M 15.05 % 39.605 M -8.01 % 43.054 M 10.86 % 38.835 M 2.03 % 38.062 M 43.55 % 26.515 M
Operating income 62.389 M -26.34 % 84.693 M 14.38 % 74.046 M 76.70 % 41.906 M 453.95 % 7.565 M -7.63 % 8.190 M
Operating income ratio 0.05 -32.05 % 0.08 -0.53 % 0.08 66.07 % 0.05 384.90 % 0.01 -11.18 % 0.01
Total other income expenses net 39.851 M 77.98 % 22.391 M 723.70 % -3.590 M -400.70 % -717.000 K -107.61 % 9.421 M -46.39 % 17.573 M
2024 2023 2022 2021 2020 2019
2024 2023 2022 2021 2020 2019
Net debt -146.358 M 24.35 % -193.478 M -32.19 % -146.367 M -36.44 % -107.276 M -5.97 % -101.235 M -62.17 % -62.425 M
Total investments 392.141 M 6.04 % 369.803 M 1.41 % 364.670 M -2.63 % 374.521 M -4.45 % 391.957 M 84.35 % 212.614 M
Total debt 96.434 M 114.23 % 45.014 M 195.23 % 15.247 M 5.00 % 14.521 M -46.46 % 27.124 M 64.21 % 16.518 M
Accumulated other comprehensive income loss 33.073 M 23.35 % 26.813 M 0.000 0.000 0.000 100.00 % -6.250 M
Retained earnings 84.308 M 8.49 % 77.712 M 105.58 % 37.801 M 42.55 % 26.518 M 154.42 % 10.423 M -55.75 % 23.556 M
Common stock 531.212 M 7.04 % 496.269 M 0.00 % 496.269 M 0.00 % 496.269 M 0.00 % 496.269 M 0.00 % 496.269 M
Total equity 2.396 B 39.12 % 1.722 B 30.00 % 1.325 B 0.69 % 1.316 B 2.05 % 1.289 B -1.38 % 1.307 B
Other non current liabilities 0.000 0.000 0.000 0.000 -100.00 % 250.000 K 0.000
Long term debt 19.767 M 227.49 % 6.036 M -0.87 % 6.089 M -22.23 % 7.829 M 15.22 % 6.795 M -6.24 % 7.247 M
Total non current liabilities 365.391 M 21.17 % 301.548 M 11.82 % 269.663 M 22.28 % 220.525 M -0.93 % 222.587 M -12.57 % 254.599 M
Other current liabilities 234.332 M 60.31 % 146.171 M 4 970.74 % -3.001 M -102.77 % 108.250 M 12.86 % 95.915 M 4.52 % 91.764 M
Deferred revenue 0.000 -100.00 % 51.041 M -71.00 % 175.975 M -4.82 % 184.889 M 13.01 % 163.610 M 243.18 % 47.674 M
Short term debt 76.667 M 96.69 % 38.978 M 123.06 % -169.024 M -2 625.76 % 6.692 M -67.08 % 20.329 M 23.07 % 16.518 M
Total current liabilities 395.008 M 21.57 % 324.918 M 33.00 % 244.302 M -1.36 % 247.663 M 11.13 % 222.856 M 11.83 % 199.275 M
Total liabilities 760.399 M 21.38 % 626.466 M 21.89 % 513.965 M 9.78 % 468.188 M 5.11 % 445.443 M -1.86 % 453.874 M
Other non current assets 1.466 B 75.58 % 834.970 M 86.59 % 447.488 M 7.60 % 415.881 M 55.54 % 267.374 M 5 199.78 % 5.045 M
Long term investments -941.976 M -214.98 % -299.055 M -441.91 % 87.466 M -21.36 % 111.229 M -14.68 % 130.365 M -68.31 % 411.354 M
Intangible assets 18.041 M -20.97 % 22.829 M -90.50 % 240.328 M 23.06 % 195.299 M -26.83 % 266.899 M 3 514.56 % 7.384 M
GoodWill 10.091 M 0.00 % 10.091 M 0.000 0.000 0.000 -100.00 % 10.091 M
Goodwill and intangible assets 28.132 M -14.54 % 32.920 M -5.90 % 34.984 M -11.56 % 39.557 M -1.99 % 40.362 M 130.97 % 17.475 M
Property plant equipment net 596.020 M 18.29 % 503.881 M -1.38 % 510.920 M -0.83 % 515.195 M -1.06 % 520.689 M -0.88 % 525.301 M
Total non current assets 1.157 B 7.07 % 1.080 B -0.95 % 1.091 B -0.68 % 1.098 B 12.36 % 977.337 M 0.26 % 974.805 M
Other current assets 32.095 M 79.37 % 17.893 M -19.22 % 22.149 M -89.99 % 221.259 M 1 002.99 % 20.060 M -49.15 % 39.449 M
Short term investments 1.334 B 99.46 % 668.858 M 141.29 % 277.204 M 5.28 % 263.292 M 0.65 % 261.592 M 23.04 % 212.614 M
cash and cash equivalents 242.792 M 1.80 % 238.492 M 47.57 % 161.614 M 32.69 % 121.797 M -5.11 % 128.359 M 62.60 % 78.943 M
Cash and short term investments 1.577 B 73.79 % 907.350 M 106.77 % 438.818 M 13.95 % 385.089 M -1.25 % 389.951 M -1.76 % 396.940 M
Total current assets 2.000 B 57.66 % 1.268 B 69.56 % 747.991 M 9.09 % 685.690 M -9.45 % 757.270 M -3.69 % 786.323 M
Inventory 81.337 M 46.45 % 55.538 M 18.94 % 46.696 M -41.15 % 79.342 M -1.27 % 80.360 M -20.09 % 100.561 M
Net receivables 309.160 M 7.54 % 287.480 M 19.62 % 240.328 M 23.06 % 195.299 M -26.83 % 266.899 M 7.03 % 249.373 M
Tax assets 8.517 M 11.16 % 7.662 M -22.14 % 9.841 M -39.59 % 16.290 M -12.17 % 18.547 M 18.66 % 15.630 M
Other assets 0.000 0.000 0.000 0.000 0.000 0.000
Account payables 61.342 M -6.53 % 65.630 M 17.42 % 55.892 M 2.46 % 54.550 M 57.59 % 34.615 M -20.09 % 43.319 M
Tax payables 22.667 M -1.87 % 23.098 M 172.22 % 8.485 M 70.79 % 4.968 M -4.17 % 5.184 M 0.000
Deferred revenue non current 345.094 M 16.88 % 295.262 M 12.23 % 263.078 M 23.84 % 212.428 M -1.33 % 215.292 M -12.92 % 247.227 M
Minority interest 1.061 B 98.53 % 534.542 M 119.47 % 243.561 M 11.60 % 218.252 M 2.77 % 212.375 M -11.29 % 239.409 M
Capital lease obligations 29.283 M 127.65 % 12.863 M -1.36 % 13.040 M -2.25 % 13.340 M 4.55 % 12.760 M -4.56 % 13.370 M
Preferred stock 0.000 0.000 0.000 0.000 0.000 -100.00 % 554.270 M
Other total stockholders equity 686.034 M 16.90 % 586.837 M 12.03 % 523.838 M -5.49 % 554.278 M 0.60 % 550.968 M -0.60 % 554.270 M
Deferred tax liabilities non current 530.000 K 112.00 % 250.000 K -49.60 % 496.000 K 85.07 % 268.000 K 7.20 % 250.000 K 100.00 % 125.000 K
Other liabilities 0.000 0.000 0.000 0.000 0.000 0.000
Total assets 3.156 B 34.39 % 2.349 B 27.73 % 1.839 B 3.07 % 1.784 B 2.84 % 1.735 B -1.51 % 1.761 B
2024 2023 2022 2021 2020 2019
2024 2023 2022 2021 2020 2019
Deferred income tax 0.000 0.000 0.000 0.000 0.000 0.000
Stock based compensation 26.247 M 426.31 % 4.987 M 0.000 -100.00 % 2.444 M 991.07 % 224.000 K -53.04 % 477.000 K
Change in working capital 44.488 M 281.84 % 11.651 M 157.86 % -20.135 M 69.71 % -66.466 M -357.34 % 25.828 M 214.41 % -22.574 M
Accounts receivables 36.048 M 186.92 % -41.472 M 0.000 0.000 0.000 -100.00 % 10.604 M
Inventory -25.799 M -191.78 % -8.842 M -127.08 % 32.646 M 3 106.88 % 1.018 M -94.96 % 20.201 M 721.19 % -3.252 M
Accounts payables 0.000 -100.00 % 9.738 M 0.000 0.000 0.000 -100.00 % 19.435 M
Other working capital 34.239 M -34.44 % 52.227 M 0.000 0.000 0.000 100.00 % -29.926 M
Other non cash items -42.048 M -310.95 % -10.232 M -60.88 % -6.360 M -31.27 % -4.845 M 22.13 % -6.222 M 74.17 % -24.088 M
Net cash provided by operating activities 176.493 M 15.28 % 153.095 M 61.74 % 94.654 M 582.04 % 13.878 M -81.16 % 73.660 M 2 659.84 % 2.669 M
Investments in property plant and equipment -101.347 M -285.58 % -26.284 M 20.13 % -32.910 M -97.48 % -16.665 M 56.19 % -38.035 M -227.83 % -11.602 M
Acquisitions net 0.000 0.000 0.000 0.000 0.000 100.00 % -10.661 M
Purchases of investments -1.658 B -81.57 % -913.119 M -166.91 % -342.106 M -29.52 % -264.130 M -755.23 % 40.311 M 0.000
Sales maturities of investments 989.160 M 86.68 % 529.857 M 42.23 % 372.534 M 34.36 % 277.265 M 587.81 % 40.311 M -38.15 % 65.179 M
Other investing activites -8.014 M -1 986.98 % -384.000 K 12.13 % -437.000 K 58.66 % -1.057 M -324.50 % -249.000 K -100.40 % 61.699 M
Net cash used for investing activites -778.147 M -89.82 % -409.930 M -14 006.33 % -2.906 M 36.65 % -4.587 M -326.30 % 2.027 M -95.95 % 50.097 M
Debt repayment 35.000 M 16.67 % 30.000 M 0.000 0.000 100.00 % -6.657 M 52.40 % -13.986 M
Common stock issued 13.994 M 118.21 % 6.413 M 0.000 -100.00 % 7.182 M 62.56 % 4.418 M -6.68 % 4.734 M
Common stock repurchased -40.705 M 0.000 100.00 % -41.245 M -519.02 % -6.663 M 0.000 100.00 % -24.917 M
Dividends paid -33.153 M -1.62 % -32.626 M -38.74 % -23.516 M -168.17 % -8.769 M 52.16 % -18.330 M -37.61 % -13.320 M
Other financing activites 630.327 M 90.90 % 330.194 M 2 467.41 % 12.861 M 275.10 % -7.345 M -791.38 % -824.000 K 96.28 % -22.171 M
Net cash used provided by financing activities 605.463 M 81.29 % 333.981 M 743.51 % -51.900 M -232.80 % -15.595 M 39.58 % -25.811 M 62.95 % -69.660 M
Effect of forex changes on cash 491.000 K 283.21 % -268.000 K -764.52 % -31.000 K 87.98 % -258.000 K 43.91 % -460.000 K -116.98 % -212.000 K
Net change in cash 4.300 M -94.41 % 76.878 M 93.08 % 39.817 M 706.78 % -6.562 M -113.28 % 49.416 M 388.88 % -17.106 M
Cash at beginning of period 238.492 M 47.57 % 161.614 M 32.69 % 121.797 M -5.11 % 128.359 M 62.60 % 78.943 M -17.81 % 96.049 M
Cash at end of period 242.792 M 1.80 % 238.492 M 47.57 % 161.614 M 32.69 % 121.797 M -5.11 % 128.359 M 62.60 % 78.943 M
Operating cash flow 176.493 M 15.28 % 153.095 M 61.74 % 94.654 M 582.04 % 13.878 M -81.16 % 73.660 M 2 659.84 % 2.669 M
Capital expenditure -103.490 M -293.74 % -26.284 M 20.13 % -32.910 M -97.48 % -16.665 M 56.19 % -38.035 M -227.83 % -11.602 M
Free CashFlow 73.003 M -42.43 % 126.811 M 105.38 % 61.744 M 2 315.43 % -2.787 M -107.82 % 35.625 M 498.80 % -8.933 M
2024 2023 2022 2021 2020 2019
2025-06-30 2025-03-31 2024-12-31 2024-09-30 2024-06-30 2024-03-31 2023-12-31 2023-09-30 2023-06-30 2023-03-31 2022-12-31
Revenue 304.400 M 4.68 % 290.800 M -11.57 % 328.864 M 8.21 % 303.912 M 3.79 % 292.814 M -1.22 % 296.440 M 4.17 % 284.564 M -1.62 % 289.252 M -2.22 % 295.827 M 14.81 % 257.661 M -1.68 % 262.062 M
Net income 11.408 M -24.02 % 15.014 M -54.64 % 33.096 M 184.62 % 11.628 M -30.79 % 16.802 M -24.23 % 22.176 M 333.29 % 5.118 M -72.55 % 18.648 M -40.76 % 31.477 M 35.93 % 23.156 M 121.27 % 10.465 M
Income before tax 4.616 M -58.99 % 11.255 M -56.07 % 25.620 M 41.68 % 18.083 M -28.67 % 25.350 M -23.61 % 33.187 M 373.15 % 7.014 M -68.42 % 22.213 M -49.91 % 44.349 M 32.35 % 33.508 M 89.93 % 17.642 M
Income before tax ratio 0.02 -60.82 % 0.04 -50.32 % 0.08 30.93 % 0.06 -31.27 % 0.09 -22.67 % 0.11 354.20 % 0.02 -67.90 % 0.08 -48.77 % 0.15 15.28 % 0.13 93.18 % 0.07
EBITDA 19.334 M -20.50 % 24.320 M -36.80 % 38.478 M 26.39 % 30.445 M -16.26 % 36.358 M -16.52 % 43.553 M 146.61 % 17.661 M -45.71 % 32.529 M -39.70 % 53.942 M 22.85 % 43.909 M 100.96 % 21.850 M
Net income ratio 0.04 -27.41 % 0.05 -48.70 % 0.10 163.03 % 0.04 -33.32 % 0.06 -23.30 % 0.07 315.94 % 0.02 -72.10 % 0.06 -39.41 % 0.11 18.40 % 0.09 125.05 % 0.04
Ratio EBITDA 0.06 -24.05 % 0.08 -28.52 % 0.12 16.80 % 0.10 -19.32 % 0.12 -15.49 % 0.15 136.73 % 0.06 -44.81 % 0.11 -38.33 % 0.18 7.00 % 0.17 104.39 % 0.08
Gross profit ratio 0.55 2.27 % 0.54 -6.79 % 0.58 3.15 % 0.56 2.03 % 0.55 0.97 % 0.55 1.49 % 0.54 -4.36 % 0.56 -5.55 % 0.60 5.36 % 0.57 0.16 % 0.56
Weighted average shs out dil 49.600 M -0.89 % 50.047 M -1.01 % 50.557 M 0.00 % 50.557 M -0.27 % 50.691 M 7.44 % 47.183 M -0.16 % 47.257 M -1.17 % 47.815 M 1.78 % 46.981 M -0.59 % 47.257 M -6.43 % 50.507 M
Weighted average shs out 49.600 M -0.89 % 50.047 M -1.01 % 50.557 M 0.00 % 50.557 M -0.18 % 50.649 M 7.35 % 47.183 M 0.11 % 47.131 M 1.10 % 46.620 M -0.77 % 46.981 M -0.59 % 47.257 M -7.19 % 50.920 M
EPS diluted 0.23 -23.33 % 0.30 -53.85 % 0.65 182.61 % 0.23 -30.30 % 0.33 -29.79 % 0.47 327.27 % 0.11 -71.79 % 0.39 -41.79 % 0.67 36.73 % 0.49 133.33 % 0.21
Earnings per share 0.23 -23.33 % 0.30 -53.85 % 0.65 182.61 % 0.23 -30.30 % 0.33 -29.79 % 0.47 327.27 % 0.11 -72.50 % 0.40 -40.30 % 0.67 36.73 % 0.49 133.33 % 0.21
Gross profit 168.540 M 7.05 % 157.440 M -17.58 % 191.015 M 11.62 % 171.125 M 5.89 % 161.602 M -0.26 % 162.025 M 5.73 % 153.246 M -5.91 % 162.874 M -7.65 % 176.366 M 20.97 % 145.791 M -1.52 % 148.046 M
Income tax expense 4.122 M -48.29 % 7.971 M -30.29 % 11.434 M 41.46 % 8.083 M 131.67 % 3.489 M -62.76 % 9.369 M 684.02 % 1.195 M -85.22 % 8.086 M -10.01 % 8.985 M 21.08 % 7.421 M 35.37 % 5.482 M
Cost of revenue 135.860 M 1.87 % 133.360 M -3.26 % 137.849 M 3.81 % 132.787 M 1.20 % 131.212 M -2.38 % 134.415 M 2.36 % 131.318 M 3.91 % 126.378 M 5.79 % 119.461 M 6.79 % 111.870 M -1.88 % 114.016 M
General and administrative expenses 50.406 M 8.30 % 46.542 M 0.45 % 46.335 M -16.21 % 55.297 M 46.15 % 37.836 M 3.50 % 36.557 M 4.62 % 34.941 M -5.94 % 37.147 M 6.11 % 35.007 M 14.46 % 30.585 M -9.34 % 33.736 M
Selling and marketing expenses 81.244 M 5.33 % 77.134 M -13.94 % 89.625 M 24.84 % 71.791 M -5.24 % 75.762 M 7.39 % 70.549 M -12.01 % 80.174 M 5.33 % 76.119 M 1.54 % 74.965 M 16.60 % 64.292 M -11.23 % 72.428 M
Other expenses 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 -100.00 % 119.000 K 0.000 100.00 % -9.000 K
Operating expenses 166.732 M 7.04 % 155.762 M -12.25 % 177.498 M 9.46 % 162.157 M 13.60 % 142.741 M 2.64 % 139.075 M -6.31 % 148.449 M -0.75 % 149.575 M 10.57 % 135.280 M 13.99 % 118.676 M -10.63 % 132.793 M
Cost and expenses 302.592 M 4.66 % 289.122 M -8.32 % 315.347 M 6.92 % 294.944 M 6.97 % 275.734 M 0.82 % 273.490 M -2.24 % 279.767 M 1.38 % 275.953 M 8.33 % 254.741 M 10.49 % 230.546 M -6.59 % 246.809 M
Research and development expenses 35.082 M 9.34 % 32.086 M -22.76 % 41.538 M 18.45 % 35.069 M 15.20 % 30.442 M -4.78 % 31.969 M -4.09 % 33.334 M -8.19 % 36.309 M 43.47 % 25.308 M 6.34 % 23.799 M -7.86 % 25.828 M
Selling general and administrative expenses 131.650 M 6.45 % 123.676 M -9.04 % 135.960 M 6.98 % 127.088 M 11.40 % 114.080 M 6.51 % 107.106 M -6.96 % 115.115 M 1.63 % 113.266 M 3.00 % 109.972 M 15.91 % 94.877 M -11.31 % 106.974 M
Interest income 6.934 M 13.10 % 6.131 M -12.49 % 7.006 M 40.57 % 4.984 M -4.34 % 5.210 M 15.73 % 4.502 M 2.62 % 4.387 M 74.78 % 2.510 M -11.62 % 2.840 M 4.11 % 2.728 M 23.33 % 2.212 M
Interest expense 327.000 K 8.64 % 301.000 K -34.28 % 458.000 K 53.18 % 299.000 K 25.10 % 239.000 K -15.55 % 283.000 K 150.44 % 113.000 K 59.15 % 71.000 K -26.04 % 96.000 K -26.15 % 130.000 K 49.43 % 87.000 K
Depreciation and amortization 14.391 M 12.75 % 12.764 M 2.94 % 12.400 M 2.79 % 12.063 M 12.02 % 10.769 M 4.21 % 10.334 M 2.64 % 10.068 M 7.46 % 9.369 M -5.33 % 9.897 M -3.64 % 10.271 M 55.48 % 6.606 M
Operating income 1.808 M 20.61 % 1.499 M -89.35 % 14.078 M 75.32 % 8.030 M -52.99 % 17.080 M -48.58 % 33.219 M 337.50 % 7.593 M -67.22 % 23.160 M -47.42 % 44.045 M 28.41 % 34.300 M 124.87 % 15.253 M
Operating income ratio 0.01 15.22 % 0.01 -87.96 % 0.04 62.02 % 0.03 -54.70 % 0.06 -47.95 % 0.11 319.97 % 0.03 -66.67 % 0.08 -46.22 % 0.15 11.84 % 0.13 128.71 % 0.06
Total other income expenses net 2.808 M -71.22 % 9.756 M -15.47 % 11.542 M 14.81 % 10.053 M 21.56 % 8.270 M 25 942.94 % -32.001 K 94.47 % -579.000 K 38.86 % -947.000 K -411.51 % 304.000 K -95.24 % 6.393 M 167.60 % 2.389 M
2025-06-30 2025-03-31 2024-12-31 2024-09-30 2024-06-30 2024-03-31 2023-12-31 2023-09-30 2023-06-30 2023-03-31 2022-12-31
2025-06-30 2025-03-31 2024-12-31 2024-09-30 2024-06-30 2024-03-31 2023-12-31 2023-09-30 2023-06-30 2023-03-31 2022-12-31
Net debt -144.207 M -54.03 % -93.624 M 36.03 % -146.358 M 44.03 % -261.496 M 24.55 % -346.595 M -120.87 % -156.923 M 18.89 % -193.478 M -28.64 % -150.406 M 4.07 % -156.782 M -96.85 % -79.647 M 47.76 % -152.456 M
Total investments 376.935 M -79.44 % 1.833 B 367.56 % 392.141 M 3.15 % 380.158 M 2.21 % 371.922 M 4.12 % 357.190 M -3.41 % 369.803 M 3.94 % 355.785 M 3.35 % 344.256 M 3.54 % 332.485 M 90.18 % 174.830 M
Total debt 42.621 M -57.61 % 100.541 M 4.26 % 96.434 M -2.19 % 98.593 M -3.05 % 101.699 M 57.12 % 64.728 M 43.80 % 45.014 M 268.82 % 12.205 M -17.36 % 14.769 M -32.39 % 21.845 M 138.53 % 9.158 M
Accumulated other comprehensive income loss 0.000 -100.00 % 32.412 M -2.00 % 33.073 M -1.50 % 33.577 M 636.97 % -6.253 M 0.000 0.000 0.000 0.000 0.000 100.00 % -6.361 M
Retained earnings 26.422 M 5.64 % 25.011 M -70.33 % 84.308 M 66.60 % 50.606 M 29.83 % 38.978 M -39.98 % 64.945 M -16.43 % 77.712 M 6.05 % 73.281 M 34.13 % 54.633 M 104.10 % 26.768 M -60.30 % 67.418 M
Common stock 531.212 M 0.00 % 531.212 M 0.00 % 531.212 M 0.00 % 531.212 M 0.00 % 531.212 M 7.04 % 496.269 M 0.00 % 496.269 M 0.00 % 496.269 M 0.00 % 496.269 M 0.00 % 496.269 M 0.00 % 496.269 M
Total equity 2.260 B -2.20 % 2.311 B -3.56 % 2.396 B 11.35 % 2.152 B 5.08 % 2.048 B 15.53 % 1.772 B 2.91 % 1.722 B 17.17 % 1.470 B 8.91 % 1.350 B 2.50 % 1.317 B -0.61 % 1.325 B
Other non current liabilities 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 -100.00 % 29.694 M
Long term debt 28.291 M 16.43 % 24.298 M 22.92 % 19.767 M -9.68 % 21.886 M -8.89 % 24.021 M 57.42 % 15.259 M 152.80 % 6.036 M 17.16 % 5.152 M -15.72 % 6.113 M 17.63 % 5.197 M -14.65 % 6.089 M
Total non current liabilities 387.657 M 3.64 % 374.051 M 2.37 % 365.391 M 3.98 % 351.411 M 2.65 % 342.332 M 6.21 % 322.314 M 6.89 % 301.548 M 19.39 % 252.579 M 5.23 % 240.019 M -0.21 % 240.525 M -10.81 % 269.663 M
Other current liabilities 351.478 M 28.69 % 273.112 M 16.55 % 234.332 M -6.81 % 251.448 M 36.49 % 184.220 M 19.45 % 154.229 M 5.51 % 146.171 M 6.34 % 137.461 M -16.77 % 165.154 M 51.74 % 108.839 M 4.98 % 103.679 M
Deferred revenue 0.000 0.000 0.000 0.000 -100.00 % 64.288 M -72.84 % 236.708 M 9.59 % 216.001 M -8.32 % 235.605 M -10.71 % 263.858 M 30.30 % 202.497 M 167.95 % 75.573 M
Short term debt 14.330 M -81.20 % 76.243 M -0.55 % 76.667 M -0.05 % 76.707 M -1.25 % 77.678 M 57.02 % 49.469 M 26.92 % 38.978 M 452.64 % 7.053 M -18.52 % 8.656 M -48.01 % 16.648 M 81.79 % 9.158 M
Total current liabilities 432.493 M -4.58 % 453.264 M 14.75 % 395.008 M -5.71 % 418.926 M -0.20 % 419.784 M 14.50 % 366.637 M 12.84 % 324.918 M 3.89 % 312.762 M -9.72 % 346.452 M 20.83 % 286.721 M 17.36 % 244.302 M
Total liabilities 820.150 M -0.87 % 827.315 M 8.80 % 760.399 M -1.29 % 770.337 M 1.08 % 762.116 M 10.62 % 688.951 M 9.97 % 626.466 M 10.81 % 565.341 M -3.60 % 586.471 M 11.23 % 527.246 M 2.58 % 513.965 M
Other non current assets 473.071 M 2 764.84 % 16.513 M -98.87 % 1.466 B 29.96 % 1.128 B 16.47 % 968.559 M 3.40 % 936.730 M 12.19 % 834.970 M 38.46 % 603.059 M 11.32 % 541.733 M -4.33 % 566.228 M 7 538.31 % 7.413 M
Long term investments 0.000 -100.00 % 450.285 M 147.80 % -941.976 M -54.95 % -607.929 M -38.05 % -440.380 M -5.02 % -419.347 M -40.22 % -299.055 M -288.16 % -77.045 M -216.54 % -24.340 M 60.38 % -61.435 M -111.65 % 527.541 M
Intangible assets 305.833 M 2 930.75 % 10.091 M -44.07 % 18.041 M -6.73 % 19.343 M -3.56 % 20.056 M -93.27 % 298.218 M 3.74 % 287.480 M -4.75 % 301.804 M 13.29 % 266.388 M 16.91 % 227.866 M 815.38 % 24.893 M
GoodWill 0.000 -100.00 % 17.025 M 68.71 % 10.091 M 0.00 % 10.091 M 0.00 % 10.091 M 0.000 0.000 0.000 0.000 0.000 -100.00 % 10.091 M
Goodwill and intangible assets 30.274 M 11.65 % 27.116 M -3.61 % 28.132 M -4.42 % 29.434 M -2.37 % 30.147 M -4.15 % 31.452 M -4.46 % 32.920 M 4.05 % 31.640 M -3.41 % 32.757 M -3.44 % 33.923 M -3.03 % 34.984 M
Property plant equipment net 654.200 M 4.32 % 627.083 M 5.21 % 596.020 M 2.36 % 582.250 M 4.40 % 557.696 M 6.19 % 525.193 M 4.23 % 503.881 M 0.26 % 502.568 M 0.03 % 502.402 M -0.12 % 502.983 M -1.55 % 510.920 M
Total non current assets 1.165 B 3.22 % 1.129 B -2.41 % 1.157 B 1.45 % 1.140 B 1.46 % 1.124 B 3.96 % 1.081 B 0.06 % 1.080 B 1.26 % 1.067 B 0.70 % 1.059 B 0.91 % 1.050 B -3.74 % 1.091 B
Other current assets 35.557 M 2.97 % 34.530 M 7.59 % 32.095 M -2.59 % 32.950 M 9.17 % 30.183 M 45.54 % 20.738 M 15.90 % 17.893 M -8.09 % 19.469 M -93.23 % 287.442 M 1 306.41 % 20.438 M -24.99 % 27.246 M
Short term investments 1.299 B -6.12 % 1.383 B 3.68 % 1.334 B 35.02 % 988.087 M 21.64 % 812.302 M 4.61 % 776.537 M 16.10 % 668.858 M 54.53 % 432.830 M 17.43 % 368.596 M -6.43 % 393.920 M 125.32 % 174.830 M
cash and cash equivalents 186.828 M -3.78 % 194.165 M -20.03 % 242.792 M -32.57 % 360.089 M -19.68 % 448.294 M 102.25 % 221.651 M -7.06 % 238.492 M 46.66 % 162.611 M -5.21 % 171.551 M 69.03 % 101.492 M -37.20 % 161.614 M
Cash and short term investments 1.485 B -5.83 % 1.577 B 0.03 % 1.577 B 16.97 % 1.348 B 6.95 % 1.261 B 26.29 % 998.188 M 10.01 % 907.350 M 52.38 % 595.441 M 10.24 % 540.147 M 9.03 % 495.412 M 13.51 % 436.437 M
Total current assets 1.915 B -4.70 % 2.009 B 0.48 % 2.000 B 12.22 % 1.782 B 5.69 % 1.686 B 22.14 % 1.380 B 8.83 % 1.268 B 30.98 % 968.257 M 10.46 % 876.591 M 10.40 % 793.990 M 6.15 % 747.991 M
Inventory 87.905 M -7.46 % 94.987 M 16.78 % 81.337 M -10.56 % 90.937 M 26.22 % 72.044 M 14.22 % 63.073 M 13.57 % 55.538 M 7.75 % 51.543 M 5.19 % 49.002 M -2.53 % 50.274 M 7.66 % 46.696 M
Net receivables 305.833 M 1.20 % 302.194 M -2.25 % 309.160 M -0.15 % 309.630 M -4.14 % 323.015 M 8.32 % 298.218 M 3.74 % 287.480 M -4.75 % 301.804 M 13.29 % 266.388 M 16.91 % 227.866 M -4.10 % 237.612 M
Tax assets 7.754 M -1.82 % 7.898 M -7.27 % 8.517 M 1.80 % 8.366 M 7.30 % 7.797 M 11.77 % 6.976 M -8.95 % 7.662 M 14.68 % 6.681 M -3.63 % 6.933 M -15.40 % 8.195 M -16.73 % 9.841 M
Other assets 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Account payables 54.987 M -26.52 % 74.833 M 21.99 % 61.342 M -21.10 % 77.749 M 2.76 % 75.664 M -2.63 % 77.707 M 18.40 % 65.630 M 7.39 % 61.116 M -6.66 % 65.474 M 2.78 % 63.705 M 13.98 % 55.892 M
Tax payables 11.698 M -59.77 % 29.076 M 28.27 % 22.667 M 74.07 % 13.022 M -27.39 % 17.934 M -43.13 % 31.534 M 36.52 % 23.098 M 9.76 % 21.044 M 15.35 % 18.243 M 28.28 % 14.221 M 0.000
Deferred revenue non current 359.041 M 2.88 % 348.981 M 1.13 % 345.094 M 4.77 % 329.367 M 3.52 % 318.153 M 3.70 % 306.798 M 3.91 % 295.262 M 19.48 % 247.121 M 5.84 % 233.481 M -0.60 % 234.883 M 0.64 % 233.384 M
Minority interest 998.629 M -5.18 % 1.053 B -0.75 % 1.061 B 18.22 % 897.692 M 3.89 % 864.050 M 42.60 % 605.941 M 13.36 % 534.542 M 57.31 % 339.792 M 40.70 % 241.501 M -2.00 % 246.430 M 1.18 % 243.561 M
Capital lease obligations 40.774 M 16.55 % 34.984 M 19.47 % 29.283 M -7.91 % 31.797 M -8.34 % 34.690 M 43.52 % 24.171 M 87.91 % 12.863 M 22.39 % 10.510 M -14.10 % 12.235 M 10.12 % 11.111 M -14.79 % 13.040 M
Preferred stock 0.000 0.000 0.000 0.000 -100.00 % 6.253 M 0.000 0.000 0.000 0.000 0.000 0.000
Other total stockholders equity 703.559 M 5.20 % 668.803 M -2.51 % 686.034 M 7.45 % 638.473 M 4.10 % 613.301 M 6.07 % 578.190 M -1.47 % 586.837 M 9.99 % 533.516 M 0.59 % 530.365 M -3.07 % 547.171 M 4.45 % 523.838 M
Deferred tax liabilities non current 325.000 K -57.90 % 772.000 K 45.66 % 530.000 K 235.44 % 158.000 K 0.00 % 158.000 K -38.52 % 257.000 K 2.80 % 250.000 K -18.30 % 306.000 K -28.00 % 425.000 K -4.49 % 445.000 K -10.28 % 496.000 K
Other liabilities 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Total assets 3.080 B -1.85 % 3.138 B -0.58 % 3.156 B 8.02 % 2.922 B 3.99 % 2.810 B 14.16 % 2.461 B 4.79 % 2.349 B 15.40 % 2.035 B 5.12 % 1.936 B 5.00 % 1.844 B 0.28 % 1.839 B
2025-06-30 2025-03-31 2024-12-31 2024-09-30 2024-06-30 2024-03-31 2023-12-31 2023-09-30 2023-06-30 2023-03-31 2022-12-31
2025-06-30 2025-03-31 2024-12-31 2024-09-30 2024-06-30 2024-03-31 2023-12-31 2023-09-30 2023-06-30 2023-03-31 2022-12-31
Deferred income tax 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Stock based compensation 6.818 M 13.43 % 6.011 M -44.17 % 10.766 M -5.14 % 11.349 M 449.59 % 2.065 M -0.10 % 2.067 M -20.77 % 2.609 M 15.24 % 2.264 M 0.000 -100.00 % 114.000 K 0.000
Change in working capital 70.971 M 210.40 % -64.287 M -464.89 % 17.618 M -55.04 % 39.185 M 667.28 % 5.107 M 135.93 % -14.213 M -148.47 % 29.322 M 53.32 % 19.125 M 1 057.21 % -1.998 M 94.26 % -34.798 M 0.000
Accounts receivables 12.183 M -43.51 % 21.565 M 26.78 % 17.010 M -31.43 % 24.806 M 427.04 % -7.585 M 0.000 0.000 0.000 0.000 0.000 0.000
Inventory 7.082 M 151.88 % -13.650 M -242.19 % 9.600 M 150.81 % -18.893 M -110.60 % -8.971 M -19.06 % -7.535 M -88.61 % -3.995 M -57.22 % -2.541 M -299.76 % 1.272 M 135.55 % -3.578 M 0.000
Accounts payables 0.000 0.000 0.000 0.000 100.00 % -2.043 M 0.000 0.000 0.000 0.000 0.000 0.000
Other working capital 51.706 M 171.61 % -72.202 M -702.96 % -8.992 M -127.03 % 33.272 M 40.35 % 23.706 M 0.000 0.000 0.000 0.000 0.000 0.000
Other non cash items -25.030 M -600.92 % -3.571 M 47.35 % -6.783 M 39.73 % -11.254 M 25.15 % -15.036 M -256.39 % -4.219 M 1.29 % -4.274 M -75.24 % -2.439 M 11.12 % -2.744 M -5.62 % -2.598 M 0.000
Net cash provided by operating activities 71.766 M 289.72 % -37.828 M -163.45 % 59.621 M -14.12 % 69.426 M 252.29 % 19.707 M -28.96 % 27.739 M -43.32 % 48.938 M -0.23 % 49.050 M -0.07 % 49.086 M 715.25 % 6.021 M 0.000
Investments in property plant and equipment -20.509 M 29.68 % -29.167 M -47.04 % -19.836 M 39.42 % -32.742 M -11.09 % -29.473 M -47.30 % -20.009 M -57.81 % -12.679 M -90.78 % -6.646 M -195.51 % -2.249 M 52.25 % -4.710 M 0.000
Acquisitions net 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Purchases of investments -124.447 M 60.85 % -317.889 M 38.81 % -519.538 M 19.96 % -649.100 M -294.42 % -164.569 M 49.32 % -324.739 M -3.87 % -312.642 M 22.94 % -405.690 M -2 937.28 % -13.357 M 92.64 % -181.430 M 0.000
Sales maturities of investments 156.442 M -56.61 % 360.565 M 88.58 % 191.196 M -56.96 % 444.268 M 272.31 % 119.326 M -49.09 % 234.370 M 168.05 % 87.436 M -69.80 % 289.557 M 608.36 % 40.877 M -63.50 % 111.987 M 0.000
Other investing activites -1.461 M 54.98 % -3.245 M 1.64 % -3.299 M -192.21 % -1.129 M 37.21 % -1.798 M -67.26 % -1.075 M -223.71 % 869.000 K 132.36 % -2.685 M -292.61 % 1.394 M 3 667.57 % 37.000 K 0.000
Net cash used for investing activites 10.025 M -2.33 % 10.264 M 102.92 % -351.477 M -47.24 % -238.703 M -211.97 % -76.514 M 31.35 % -111.453 M 52.98 % -237.017 M -88.92 % -125.462 M -570.51 % 26.665 M 135.98 % -74.116 M 0.000
Debt repayment -65.000 M -3 977.79 % -1.594 M -549.01 % 355.000 K 266.67 % -213.000 K -100.85 % 25.000 M 197.41 % 8.406 M 0.000 0.000 100.00 % -8.200 M -182.00 % 10.000 M 2 092.98 % 456.000 K
Common stock issued 0.000 0.000 -100.00 % 6.997 M 0.000 0.000 -100.00 % 6.997 M 0.000 0.000 -100.00 % 6.413 M 0.000 0.000
Common stock repurchased -20.504 M -12.06 % -18.298 M -627.55 % -2.515 M 93.17 % -36.821 M -2 589.63 % -1.369 M 0.000 0.000 0.000 0.000 0.000 100.00 % -6.073 M
Dividends paid 0.000 0.000 100.00 % -33.153 M 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Other financing activites -3.205 M -153.16 % -1.266 M -100.62 % 203.072 M 72.62 % 117.641 M -54.71 % 259.726 M 405.89 % 51.340 M -80.57 % 264.223 M 293.15 % 67.207 M 1 900.35 % -3.733 M -93.52 % -1.929 M -108.52 % 22.628 M
Net cash used provided by financing activities -88.709 M -319.27 % -21.158 M -112.11 % 174.756 M 116.80 % 80.607 M -71.55 % 283.357 M 324.55 % 66.743 M -74.74 % 264.223 M 293.15 % 67.207 M 1 317.52 % -5.520 M -168.39 % 8.071 M 0.000
Effect of forex changes on cash -419.000 K -541.05 % 95.000 K 148.22 % -197.000 K -142.37 % 465.000 K 400.00 % 93.000 K -28.46 % 130.000 K 149.43 % -263.000 K -199.25 % 265.000 K 254.07 % -172.000 K -75.51 % -98.000 K 0.000
Net change in cash -7.337 M 84.91 % -48.627 M 58.54 % -117.297 M -32.98 % -88.205 M -138.92 % 226.643 M 1 445.78 % -16.841 M -122.19 % 75.881 M 948.78 % -8.940 M -112.76 % 70.059 M 216.53 % -60.122 M 0.000
Cash at beginning of period 194.165 M -20.03 % 242.792 M -32.57 % 360.089 M -19.68 % 448.294 M 102.25 % 221.651 M -7.06 % 238.492 M 46.66 % 162.611 M -5.21 % 171.551 M 69.03 % 101.492 M -37.20 % 161.614 M 0.000
Cash at end of period 186.828 M -3.78 % 194.165 M -20.03 % 242.792 M -32.57 % 360.089 M -19.68 % 448.294 M 102.25 % 221.651 M -7.06 % 238.492 M 46.66 % 162.611 M -5.21 % 171.551 M 69.03 % 101.492 M 0.000
Operating cash flow 71.766 M 289.72 % -37.828 M -163.45 % 59.621 M -14.12 % 69.426 M 252.29 % 19.707 M -28.96 % 27.739 M -43.32 % 48.938 M -0.23 % 49.050 M -0.07 % 49.086 M 715.25 % 6.021 M 0.000
Capital expenditure -20.713 M 32.09 % -30.499 M -53.76 % -19.836 M 41.63 % -33.981 M -13.40 % -29.966 M -49.76 % -20.009 M -57.81 % -12.679 M -90.78 % -6.646 M -195.51 % -2.249 M 52.25 % -4.710 M 0.000
Free CashFlow 51.053 M 174.72 % -68.327 M -271.74 % 39.785 M 12.24 % 35.445 M 445.50 % -10.259 M -232.72 % 7.730 M -78.68 % 36.259 M -14.49 % 42.404 M -9.46 % 46.837 M 3 472.62 % 1.311 M 0.000
2025 2025 2024 2024 2024 2024 2023 2023 2023 2023 2022
Date Form 10K
2024
2023
2022
2021
2020
2019