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Financial Statements — PODD

Balance Sheet

(in billions USD)
MetricQ2 2026Q1 2026Q3 2025Q2 2025Q1 2025Q3 2024Q2 2024Q1 2024Q3 2023Q2 2023Q1 2023Q3 2022Q2 2022Q1 2022Q3 2021Q2 2021Q1 2021
Cash & Equivalents0.530.480.761.121.280.900.820.750.690.660.640.740.720.720.860.850.82
Accounts Receivable0.590.54----------------0.160.150.150.150.110.100.10
Inventory0.480.460.450.450.440.440.430.430.410.410.390.330.320.310.260.200.17
Total Current Assets1.851.711.862.282.331.861.751.621.471.421.331.331.311.291.311.251.19
Property, Plant & Equipment0.860.830.720.720.720.700.680.670.650.600.600.550.540.540.520.510.50
Goodwill0.050.050.050.050.050.050.050.050.050.050.050.050.050.050.040.040.04
Intangible Assets0.120.120.110.100.100.100.100.100.100.100.100.050.060.050.040.030.03
Total Non-current Assets*1.321.281.171.191.191.161.131.011.000.960.960.840.800.780.690.670.65
Total Assets3.172.993.033.473.523.032.882.622.472.392.292.172.112.072.001.921.84
Accounts Payable0.120.150.050.100.060.040.080.080.080.110.090.060.060.050.060.050.06
Total Current Liabilities0.740.690.651.010.520.510.490.430.450.430.380.330.280.220.230.210.19
Long-term Debt0.930.930.930.941.611.361.361.361.371.401.401.411.411.421.291.261.07
Total Non-current Liabilities*1.001.001.001.001.671.401.401.401.411.411.401.401.411.411.271.251.07
Total Liabilities1.741.681.652.012.191.911.881.831.861.831.791.741.691.621.501.461.25
Retained Earnings0.470.380.190.100.08(0.06)(0.14)(0.33)(0.48)(0.53)(0.56)(0.60)(0.60)(0.56)(0.68)(0.69)(0.67)
Total Stockholder Equity1.421.301.381.461.331.121.000.790.610.550.500.430.420.450.500.460.59
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* Derived from reported values

Income Statement

(in millions USD) (except per-share rows)
MetricQ2 2026Q1 2026Q4 2025Q3 2025Q2 2025Q1 2025Q4 2024Q3 2024Q2 2024Q1 2024Q4 2023Q3 2023Q2 2023Q1 2023Q4 2022Q3 2022Q2 2022Q1 2022Q4 2021Q3 2021
Total Revenue801.70761.70783.70706.30649.10569.00597.50543.90488.50441.70509.80432.70396.50261.30282.60281.90243.90247.00307.70275.60
Cost of Revenue239.10232.70215.10196.20196.90160.00166.60166.80157.60134.90148.60139.40131.60117.60152.40152.50109.1085.7094.5086.90
Gross Profit562.60529.10568.60510.10452.20409.00430.90377.10330.90306.80361.20293.30264.90240.50217.30188.30190.30209.70213.20188.70
Research & Development88.1089.7090.9077.2073.4059.6060.6054.9053.9050.2042.0057.8055.1050.1049.5045.0042.6043.1041.8037.50
Selling, General & Admin344.80317.20331.50315.20257.70260.60261.00234.10222.40199.70212.80180.70178.70162.70144.30----------
Total Operating Expenses432.90407.00422.40392.40331.10320.20321.60289.00276.30249.90254.80238.50233.80212.80193.80185.40217.00171.80163.50155.00
Operating Income129.70122.10146.20117.70121.1088.80109.3088.1054.6056.90106.4054.8031.1027.7023.502.90(26.70)37.9049.7033.70
Interest Expense------------------10.706.7010.409.709.409.209.209.109.0015.1016.40
Pretax Income118.70113.00140.20122.8028.4048.10111.3082.9051.1054.90107.8053.7028.5024.6022.30(5.70)(36.10)29.3033.4015.20
Tax Provision23.7021.9038.6035.205.9012.7010.605.40(137.50)3.404.501.801.200.805.30(0.50)(1.10)1.504.202.60
Net Income95.0091.10101.6087.6022.5035.40100.7077.50188.6051.50103.3051.9027.3023.8017.00(5.20)(35.00)27.8029.2012.60
Basic EPS1.371.301.451.240.320.501.431.112.690.741.490.740.390.340.25(0.08)(0.50)0.400.440.18
Diluted EPS1.371.301.421.240.320.501.381.082.590.731.470.740.390.340.25(0.08)(0.50)0.400.430.18
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Cash Flow Statement

(in millions USD)
MetricQ2 2026Q1 2026Q4 2025Q3 2025Q2 2025Q1 2025Q4 2024Q3 2024Q2 2024Q1 2024Q4 2023Q3 2023Q2 2023Q1 2023Q4 2022Q3 2022Q2 2022Q1 2022Q4 2021Q3 2021
Operating Cash Flow88.40113.80183.30125.70196.5063.80147.7098.5096.5087.6045.2056.0044.000.5050.7056.7025.30(13.70)(25.50)(25.80)
Capital Expenditures32.5024.30135.1025.6018.6012.3053.6026.7022.5022.1029.3020.1015.7010.5064.4031.1014.6012.8031.8027.30
Free Cash Flow*55.9089.5048.20100.10177.9051.5094.1071.8074.0065.5015.9035.9028.30(10.00)(13.70)25.6010.70(26.50)(57.30)(53.10)
Investing Cash Flow(37.40)(27.70)(152.80)(31.00)(23.20)(15.70)(68.00)(29.30)(24.90)(24.00)(31.60)(22.60)(23.10)(42.10)(88.40)(33.90)(21.90)(46.90)(36.40)(12.20)
Financing Cash Flow4.00(319.90)(72.50)(457.00)(343.60)277.80(20.90)7.80(0.90)(14.10)2.20(6.90)3.20(12.10)(14.50)(3.90)(1.60)(20.30)(1.50)42.20
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* Derived from reported values