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Financial Statements — CCLD

Balance Sheet

(in millions USD)
MetricQ1 2026Q3 2025Q2 2025Q1 2025Q3 2024Q2 2024Q1 2024Q3 2023Q2 2023Q1 2023Q3 2022Q2 2022Q1 2022Q3 2021Q2 2021Q1 2021
Cash & Equivalents--------------6.417.678.163.879.229.14----20.93
Accounts Receivable15.2415.3213.5613.8911.9913.0811.9612.3112.0214.6516.2818.9818.49----12.09
Inventory0.430.610.520.610.510.500.480.480.400.270.420.380.42----0.40
Total Current Assets26.0929.2631.0928.6222.6623.9224.2827.4927.8231.4829.6837.6336.76----44.82
Property, Plant & Equipment7.466.315.835.324.895.065.445.324.754.525.104.855.40----4.92
Goodwill31.4430.4119.1919.1919.1919.1919.19--------61.1961.19----49.29
Intangible Assets16.5021.2615.5116.8820.1121.5023.2426.6927.9228.5429.7630.1830.4932.1433.2729.17
Total Non-current Assets*60.6361.3144.1544.9448.0350.0952.6198.4399.0299.54101.51102.47104.46----93.18
Total Assets86.7290.5875.2473.5670.6974.0176.89125.92126.84131.02131.20140.10141.22----138.00
Accounts Payable5.516.694.224.955.575.455.926.245.185.194.575.055.83----6.46
Total Current Liabilities23.4623.2116.2416.9521.9323.2423.8021.9419.6119.2024.5526.1928.10----29.02
Total Non-current Liabilities*4.939.572.932.432.267.5211.6615.8313.7013.743.8211.1810.82----7.73
Total Liabilities28.3932.7719.1719.3824.1930.7735.4737.7733.3132.9428.3737.3738.92----36.75
Retained Earnings(54.91)(58.72)(61.78)(64.68)(69.93)(73.05)(74.72)(30.79)(28.04)(26.21)(26.12)(27.18)(29.91)----(33.89)
Total Stockholder Equity58.3357.8056.0854.1846.5143.2441.4288.1593.5298.08102.82102.73102.2997.0597.77103.51

* Derived from reported values

Income Statement

(in millions USD) (except per-share rows)
MetricQ1 2026Q4 2025Q3 2025Q2 2025Q1 2025Q4 2024Q3 2024Q2 2024Q1 2024Q4 2023Q3 2023Q2 2023Q1 2023Q4 2022Q3 2022Q2 2022Q1 2022Q4 2021Q3 2021Q2 2021
Total Revenue31.2734.4231.0727.3827.6328.2428.5528.0925.9628.4229.2829.3630.0032.5333.7237.2335.3437.4638.3034.07
Research & Development2.422.541.581.021.241.010.801.060.911.211.261.191.081.151.171.100.990.080.491.81
Selling, General & Admin5.504.814.894.364.334.004.384.033.724.955.485.925.125.346.506.395.596.465.926.27
Total Operating Expenses30.2731.3127.8624.3825.6124.7825.2825.8225.8372.0531.2530.6530.2231.5832.0334.4734.1333.5736.8834.17
Operating Income1.003.123.213.002.023.463.272.270.13(43.63)(1.97)(1.29)(0.22)0.951.692.751.223.891.43(0.11)
Pretax Income0.972.963.102.941.993.343.161.71(0.20)(44.26)(2.69)(1.75)(0.34)0.531.112.761.203.701.27(0.01)
Tax Provision0.050.070.040.040.040.040.040.040.04(0.57)0.060.080.070.030.060.030.060.18(0.23)0.21
Net Income0.922.893.062.901.953.303.121.67(0.24)(43.69)(2.75)(1.83)(0.40)0.501.062.741.143.521.51(0.23)
Basic EPS(0.01)0.060.040.04(0.04)(0.08)(0.04)(0.14)(0.02)(3.04)(0.42)(0.37)(0.28)(0.23)(0.18)(0.07)(0.19)------
Diluted EPS(0.01)0.060.040.04(0.04)(0.08)(0.04)(0.14)(0.02)(3.04)(0.42)(0.37)----------------

Cash Flow Statement

(in millions USD)
MetricQ1 2026Q4 2025Q3 2025Q2 2025Q1 2025Q4 2024Q3 2024Q2 2024Q1 2024Q4 2023Q3 2023Q2 2023Q1 2023Q4 2022Q3 2022Q2 2022Q1 2022Q4 2021Q3 2021Q2 2021
Operating Cash Flow3.618.687.377.415.115.237.074.284.073.744.316.391.026.056.985.043.096.125.131.12
Capital Expenditures0.412.120.871.160.620.940.330.130.300.381.070.790.840.431.180.430.540.940.510.79
Free Cash Flow*3.206.556.506.254.494.296.734.153.773.363.255.600.195.625.794.612.545.194.620.33
Investing Cash Flow(1.23)(3.33)(17.70)(1.99)(1.51)(2.26)(1.67)(1.60)(1.87)(2.29)(3.24)(3.04)(3.04)(2.64)(3.50)(2.83)(2.80)(3.29)(2.85)(14.78)
Financing Cash Flow(2.15)(6.84)4.92(1.76)(1.93)(0.58)(5.17)(4.14)(1.37)(4.88)(2.58)(4.04)(1.79)3.49(9.05)(1.75)(0.34)(1.79)(2.32)2.43

* Derived from reported values