Sample Name
Sample Code
Sample Name
Sample Code
Sample Name
Sample Code
4
Hutchmed (China)
HCM
5
Lantheus
LNTH
(Q2)Mar 29, 2025 | (Q1)Dec 28, 2024 | (FY)Sep 28, 2024 | (Q4)Sep 28, 2024 | (Q3)Jun 29, 2024 | (Q2)Mar 30, 2024 | (Q1)Dec 30, 2023 | (FY)Sep 30, 2023 | (Q4)Sep 30, 2023 | (Q3)Jul 1, 2023 | |
---|---|---|---|---|---|---|---|---|---|---|
Assets | ||||||||||
Current assets | ||||||||||
Cash, cash equivalents and short term investments | -66.14%28.42M | -58.01%35.95M | -11.25%111.54M | -11.25%111.54M | 6.55%97.75M | 4.73%83.95M | 100.80%85.62M | 160.10%125.67M | 160.10%125.67M | --91.74M |
-Cash and cash equivalents | -66.14%28.42M | -58.01%35.95M | -11.25%111.54M | -11.25%111.54M | 6.55%97.75M | 4.73%83.95M | 100.80%85.62M | 160.10%125.67M | 160.10%125.67M | --91.74M |
Receivables | 41.64%79.91M | 11.14%51.24M | -5.93%59.67M | -5.93%59.67M | -4.52%63.36M | -14.35%56.42M | -32.98%46.1M | -22.32%63.42M | -22.32%63.42M | --66.36M |
-Accounts receivable | 43.64%79.79M | 14.04%49.44M | -8.07%58.31M | -8.07%58.31M | -7.73%61.23M | -15.67%55.55M | -36.98%43.35M | -22.32%63.42M | -22.32%63.42M | --66.36M |
-Taxes receivable | -86.01%122K | -34.72%1.79M | --1.36M | --1.36M | --2.13M | --872K | --2.75M | --0 | --0 | ---- |
Inventory | 3.79%96.03M | 4.81%98.67M | -14.00%88.84M | -14.00%88.84M | -32.86%89.38M | -32.21%92.53M | -45.01%94.14M | -47.73%103.31M | -47.73%103.31M | --133.13M |
Prepaid assets | -5.70%3.65M | 0.23%3.52M | 11.38%4.5M | 11.38%4.5M | -0.76%3.92M | 15.50%3.87M | 11.82%3.51M | -11.40%4.04M | -11.40%4.04M | --3.95M |
Other current assets | -5.74%2.76M | 27.04%3.11M | 14.02%2.75M | 14.02%2.75M | 10.61%2.72M | 46.23%2.93M | -0.49%2.45M | -23.56%2.41M | -23.56%2.41M | --2.46M |
Total current assets | -12.06%210.79M | -16.97%192.49M | -10.56%267.29M | -10.56%267.29M | -13.61%257.12M | -16.74%239.7M | -19.57%231.82M | -10.88%298.85M | -10.88%298.85M | --297.64M |
Non current assets | ||||||||||
Net PPE | 5.90%137.46M | 5.52%138.71M | 4.34%127.24M | 4.34%127.24M | 7.71%129.89M | 14.70%129.8M | 21.04%131.45M | 11.15%121.95M | 11.15%121.95M | --120.59M |
-Gross PPE | 7.37%326.4M | 7.18%323.75M | 6.31%308.56M | 6.31%308.56M | 6.74%307.6M | 9.41%303.99M | 11.76%302.06M | 5.51%290.25M | 5.51%290.25M | --288.17M |
-Accumulated depreciation | -8.47%-188.94M | -8.45%-185.04M | -7.74%-181.32M | -7.74%-181.32M | -6.05%-177.71M | -5.77%-174.19M | -5.52%-170.61M | -1.77%-168.29M | -1.77%-168.29M | ---167.58M |
Goodwill and other intangible assets | 257.47%55.27M | 242.79%53.64M | -4.73%15.09M | -4.73%15.09M | -4.68%15.27M | -4.62%15.46M | -4.57%15.65M | -4.56%15.84M | -4.56%15.84M | --16.02M |
-Goodwill | 287.43%37.76M | 265.74%35.64M | 0.00%9.75M | 0.00%9.75M | 0.00%9.75M | 0.00%9.75M | 0.00%9.75M | 0.00%9.75M | 0.00%9.75M | --9.75M |
-Other intangible assets | 206.40%17.51M | 204.90%18M | -12.30%5.34M | -12.30%5.34M | -11.95%5.53M | -11.59%5.72M | -11.27%5.9M | -11.06%6.09M | -11.06%6.09M | --6.28M |
Investments and advances | -34.00%99K | -31.29%112K | -28.57%125K | -28.57%125K | -27.13%137K | -21.47%150K | 579.17%163K | 326.83%175K | 326.83%175K | --188K |
Other non current assets | 50.60%18.25M | 71.94%19.75M | 19.70%12.8M | 19.70%12.8M | 11.39%12.19M | 12.37%12.12M | 9.16%11.49M | 6.34%10.7M | 6.34%10.7M | --10.94M |
Total non current assets | 33.99%211.08M | 33.68%212.21M | 4.44%155.26M | 4.44%155.26M | 6.60%157.49M | 12.24%157.53M | 17.12%158.75M | 8.98%148.66M | 8.98%148.66M | --147.75M |
Total assets | 6.20%421.86M | 3.62%404.7M | -5.58%422.55M | -5.58%422.55M | -6.91%414.62M | -7.24%397.23M | -7.83%390.57M | -5.14%447.51M | -5.14%447.51M | --445.38M |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Payables | 74.18%45.88M | 50.65%38.23M | 8.14%39.7M | 8.14%39.7M | -12.59%36.54M | -32.09%26.34M | -29.51%25.38M | -25.34%36.71M | -25.34%36.71M | --41.81M |
-accounts payable | 69.22%43M | 53.97%36.72M | 9.15%37.49M | 9.15%37.49M | -8.53%34.83M | -31.21%25.41M | -22.56%23.85M | -26.60%34.35M | -26.60%34.35M | --38.08M |
-Total tax payable | 209.11%2.88M | -1.25%1.51M | -6.46%2.21M | -6.46%2.21M | -54.08%1.71M | -49.73%933K | -70.66%1.53M | -0.42%2.37M | -0.42%2.37M | --3.73M |
Current accrued expenses | 69.26%6.39M | 13.60%6.52M | -25.64%5.5M | -25.64%5.5M | -21.48%5.8M | -25.47%3.78M | -22.71%5.74M | -35.17%7.4M | -35.17%7.4M | --7.39M |
Current provisions | -92.29%169K | -36.22%810K | -30.07%521K | -30.07%521K | 51.35%1.4M | 384.11%2.19M | 112.02%1.27M | -26.46%745K | -26.46%745K | --927K |
Current debt and capital lease obligation | 48.41%1.59M | 5.78%1.12M | -12.21%877K | -12.21%877K | 3.53%968K | 38.14%1.07M | 17.88%1.06M | 0.20%999K | 0.20%999K | --935K |
-Current capital lease obligation | 48.41%1.59M | 5.78%1.12M | -12.21%877K | -12.21%877K | 3.53%968K | 38.14%1.07M | 17.88%1.06M | 0.20%999K | 0.20%999K | --935K |
Current deferred liabilities | --390K | --413K | 44.82%433K | 44.82%433K | ---- | ---- | ---- | --299K | --299K | ---- |
Current liabilities | 63.03%54.43M | 40.81%47.08M | 1.90%47.03M | 1.90%47.03M | -12.42%44.72M | -25.96%33.38M | -25.55%33.44M | -26.27%46.16M | -26.27%46.16M | --51.06M |
Non current liabilities | ||||||||||
Long term debt and capital lease obligation | 60.69%1.9M | 9.82%1.2M | -13.35%811K | -13.35%811K | 17.40%1.02M | 168.86%1.18M | 105.66%1.09M | 63.64%936K | 63.64%936K | --868K |
-Long term capital lease obligation | 60.69%1.9M | 9.82%1.2M | -13.35%811K | -13.35%811K | 17.40%1.02M | 168.86%1.18M | 105.66%1.09M | 63.64%936K | 63.64%936K | --868K |
Non current deferred liabilities | 9.45%24.12M | 10.34%24.77M | 26.09%23.85M | 26.09%23.85M | 24.35%22.87M | 24.39%22.04M | 27.25%22.45M | 0.45%18.92M | 0.45%18.92M | --18.39M |
Total non current liabilities | 12.06%26.02M | 10.32%25.97M | 24.23%24.66M | 24.23%24.66M | 24.03%23.89M | 27.90%23.22M | 29.54%23.54M | 2.31%19.85M | 2.31%19.85M | --19.26M |
Total liabilities | 42.12%80.45M | 28.22%73.05M | 8.62%71.7M | 8.62%71.7M | -2.44%68.6M | -10.50%56.61M | -9.68%56.97M | -19.50%66.01M | -19.50%66.01M | --70.32M |
Shareholders'equity | ||||||||||
Share capital | -0.28%19.41M | -0.09%19.43M | -0.01%19.45M | -0.01%19.45M | 0.06%19.45M | 0.13%19.47M | -0.02%19.45M | -0.12%19.45M | -0.12%19.45M | --19.43M |
-common stock | -0.28%19.41M | -0.09%19.43M | -0.01%19.45M | -0.01%19.45M | 0.06%19.45M | 0.13%19.47M | -0.02%19.45M | -0.12%19.45M | -0.12%19.45M | --19.43M |
-Preferred stock | ---- | ---- | --0 | --0 | ---- | ---- | ---- | --0 | --0 | ---- |
Retained earnings | -0.62%234.65M | -1.78%225.91M | -11.91%245.34M | -11.91%245.34M | -11.78%241.25M | -10.50%236.11M | -11.58%230.01M | -3.71%278.5M | -3.71%278.5M | --273.46M |
Paid-in capital | 3.08%87.96M | 2.95%86.92M | 3.39%86.67M | 3.39%86.67M | 2.95%85.6M | 3.17%85.33M | 2.85%84.43M | 2.24%83.83M | 2.24%83.83M | --83.15M |
Gains losses not affecting retained earnings | -114.84%-608K | -114.84%-608K | -114.84%-608K | -114.84%-608K | 71.03%-283K | 71.03%-283K | 71.03%-283K | 71.03%-283K | 71.03%-283K | ---977K |
Total stockholders'equity | 0.23%341.41M | -0.58%331.65M | -8.03%350.86M | -8.03%350.86M | -7.75%346.02M | -6.67%340.62M | -7.51%333.6M | -2.11%381.51M | -2.11%381.51M | --375.07M |
Total equity | 0.23%341.41M | -0.58%331.65M | -8.03%350.86M | -8.03%350.86M | -7.75%346.02M | -6.67%340.62M | -7.51%333.6M | -2.11%381.51M | -2.11%381.51M | --375.07M |
Currency Unit | USD | USD | USD | USD | USD | USD | USD | USD | USD | USD |
Accounting Standards | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP |
Audit Opinions | -- | -- | -- | -- | -- | -- | -- | Unqualified Opinion | -- | -- |