Year Ending Dec 2025 (Update) Year Ending Dec 2024 (Update) Year Ending Dec 2023 (Update) Year Ending Dec 2022 (Update)
Cash & Equivalents 9,129.00 11,973.00 10,944.00 7,629.00
Short Term Investments 0.00 0.00 0.00 1,676.00
Cash and Short Term Investments 9,129.00 11,973.00 10,944.00 9,305.00
Accounts Receivable - Trade, Gross 9,570.00 6,782.00 7,268.00 5,563.00
Accounts Receivable - Trade, Net 9,570.00 6,782.00 7,268.00 5,563.00
Receivables - Other 1,188.00 719.00 674.00 829.00
Total Receivables, Net 10,758.00 7,501.00 7,942.00 6,392.00
Inventories - Finished Goods 1,885.00 2,060.00 2,778.00 1,004.00
Inventories - Work In Progress 3,425.00 4,120.00 5,747.00 3,098.00
Inventories - Raw Materials 915.00 818.00 993.00 828.00
Total Inventory 6,225.00 6,998.00 9,518.00 4,930.00
Prepaid Expenses 2,945.00 2,139.00 1,647.00 1,204.00
Other Current Assets 0.00 419.00 281.00 355.00
Other Current Assets, Total 0.00 419.00 281.00 355.00
Total Current Assets 29,057.00 29,030.00 30,332.00 22,186.00
Buildings - Gross 4,932.00 4,803.00 4,507.00 4,201.00
Land/Improvements - Gross 348.00 346.00 339.00 292.00
Machinery/Equipment - Gross 9,249.00 8,670.00 8,412.00 8,075.00
Construction in Progress - Gross 3,390.00 2,053.00 1,550.00 1,213.00
Other Property/Plant/Equipment - Gross 1,716.00 1,616.00 1,592.00 1,508.00
Property/Plant/Equipment, Total - Gross 19,635.00 17,488.00 16,400.00 15,289.00
Accumulated Depreciation, Total -11,120.00 -10,388.00 -9,808.00 -9,283.00
Property/Plant/Equipment, Total - Net 8,515.00 7,100.00 6,592.00 6,006.00
Goodwill, Net 18,680.00 18,637.00 18,629.00 15,529.00
Intangibles - Gross 55,060.00 56,122.00 56,447.00 36,605.00
Accumulated Intangible Amortization -32,784.00 -28,423.00 -23,806.00 -20,525.00
Intangibles, Net 22,276.00 27,699.00 32,641.00 16,080.00
LT Investment - Affiliate Companies 253.00 262.00 251.00 249.00
LT Investments - Other 0.00 0.00 0.00 0.00
Long Term Investments 253.00 262.00 251.00 249.00
Other Long Term Assets 11,805.00 9,111.00 8,709.00 5,071.00
Other Long Term Assets, Total 11,805.00 9,111.00 8,709.00 5,071.00
Total Assets 90,586.00 91,839.00 97,154.00 65,121.00
Accounts Payable 2,367.00 1,908.00 1,590.00 1,572.00
Accrued Expenses 16,786.00 13,780.00 12,490.00 10,192.00
Notes Payable/Short Term Debt 0.00 0.00 0.00 0.00
Current Portion of Long Term Debt/Capital Leases 4,599.00 3,550.00 1,443.00 1,591.00
Dividends Payable 1,358.00 1,278.00 1,205.00 1,137.00
Income Taxes Payable 379.00 2,583.00 1,664.00 1,195.00
Other Current Liabilities 0.00 0.00 0.00 0.00
Other Current liabilities, Total 1,737.00 3,861.00 2,869.00 2,332.00
Total Current Liabilities 25,489.00 23,099.00 18,392.00 15,687.00
Long Term Debt 50,005.00 56,549.00 63,170.00 37,354.00
Total Long Term Debt 50,005.00 56,549.00 63,170.00 37,354.00
Total Debt 54,604.00 60,099.00 64,613.00 38,945.00
Deferred Income Tax - Long Term Liability 1,366.00 1,616.00 2,354.00 0.00
Deferred Income Tax 1,366.00 1,616.00 2,354.00 0.00
Other Long Term Liabilities 5,068.00 4,698.00 7,006.00 8,419.00
Other Liabilities, Total 5,068.00 4,698.00 7,006.00 8,419.00
Total Liabilities 81,928.00 85,962.00 90,922.00 61,460.00
Common Stock 34,023.00 33,533.00 33,070.00 32,514.00
Common Stock, Total 34,023.00 33,533.00 33,070.00 32,514.00
Retained Earnings (Accumulated Deficit) -25,107.00 -27,590.00 -26,549.00 -28,622.00
Unrealized Gain (Loss) 0.00 0.00 0.00 0.00
Cumulative Translation Adjustment -202.00 -374.00 -298.00 -348.00
Other Comprehensive Income -56.00 308.00 9.00 117.00
Other Equity, Total -258.00 -66.00 -289.00 -231.00
Total Equity 8,658.00 5,877.00 6,232.00 3,661.00
Total Liabilities & Shareholders' Equity 90,586.00 91,839.00 97,154.00 65,121.00
Shares Outstanding – Common Stock Primary Issue 538.80 536.90 535.40 534.00
Total Common Shares Outstanding 538.80 536.90 535.40 534.00
Treasury Shares – Common Primary Issue 0.00 0.00 0.00 0.00
Employees 31,500.00 28,000.00 26,700.00 25,200.00
Number of Common Shareholders 3,824.00 4,047.00 4,614.00 4,838.00
Accumulated Intangible Amortization 32,784.00 28,423.00 23,806.00 20,525.00
Total Current Assets less Inventory 22,832.00 22,032.00 20,814.00 17,256.00
Quick Ratio 0.90 0.95 1.13 1.10
Current Ratio 1.14 1.26 1.65 1.41
Net Debt 45,475.00 48,126.00 53,669.00 29,640.00
Tangible Book Value -32,298.00 -40,459.00 -45,038.00 -27,948.00
Tangible Book Value per Share -59.94 -75.36 -84.12 -52.34
Total Long Term Debt, Supplemental 56,044.00 61,778.00 66,347.00 40,628.00
Long Term Debt Maturing within 1 Year 4,571.00 3,500.00 1,403.00 1,509.00
Long Term Debt Maturing in Year 2 2,724.00 5,922.00 5,500.00 1,400.00
Long Term Debt Maturing in Year 3 4,984.00 2,724.00 6,183.00 1,500.00
Long Term Debt Maturing in Year 4 2,943.00 4,984.00 2,724.00 2,627.00
Long Term Debt Maturing in Year 5 4,000.00 2,876.00 4,984.00 2,724.00
Long Term Debt Maturing in 2-3 Years 7,708.00 8,646.00 11,683.00 2,900.00
Long Term Debt Maturing in 4-5 Years 6,943.00 7,860.00 7,708.00 5,351.00
Long Term Debt Maturing in Year 6 & Beyond 36,822.00 41,772.00 45,553.00 30,868.00
Total Operating Leases 831.00 780.00 810.00 695.00
Operating Lease Payments Due in Year 1 148.00 110.00 138.00 172.00
Operating Lease Payments Due in Year 2 153.00 129.00 121.00 109.00
Operating Lease Payments Due in Year 3 128.00 112.00 109.00 80.00
Operating Lease Payments Due in Year 4 99.00 91.00 95.00 70.00
Operating Lease Payments Due in Year 5 77.00 73.00 74.00 64.00
Operating Lease Payments Due in 2-3 Years 281.00 241.00 230.00 189.00
Operating Lease Payments Due in 4-5 Years 176.00 164.00 169.00 134.00
Standardized Operating Lease Payments Due in Year 6 and Beyond 226.00 265.00 273.00 200.00
Number of Patents 17.00 17.00 17.00 14.00
Number of Products in Phase I 7.00 9.00 2.00 1.00
Number of Products in Phase II 9.00 12.00 4.00 2.00
Number of Products in Phase III 16.00 19.00 8.00 1.00
Number of Products in Pre-Registration 4.00 0.00 0.00 0.00
Number of Products Launched 0.00 0.00 0.00 0.00

 

For a more complete picture of our financial results, please review our SEC Filings

Source: LSEG