
| Metric | FY2025 | FY2024 | FY2023 | FY2022 | FY2021 | FY2020 | FY2019 | FY2018 |
|---|---|---|---|---|---|---|---|---|
| Cash and cash equivalents | $309.1M+71.2% | $180.5M+152.3% | $71.6M+9.0% | $65.7M-42.3% | $113.8M-49.8% | $226.8M-12.1% | $257.9M+287.7% | $66.5M |
| Accounts receivable, net of allowance for credit losses of $1,767 and $2,020 at June 27, 2025 and June 28, 2024, respectively | $109.6M-1.7% | $111.4M-10.7% | $124.7M-13.7% | $144.5M+12.2% | $128.8M+6.9% | $120.4M+1.4% | $118.8M+14.2% | $104.0M |
| Unbilled receivables and costs in excess of billings, net of allowance for credit losses of $5,311 and $6,340 at June 27, 2025 and June 28, 2024, respectively | $278.5M-8.4% | $304.0M-20.5% | $382.6M+26.1% | $303.4M+86.2% | $162.9M+80.4% | $90.3M+57.3% | $57.4M | — |
| Inventory | $332.9M-0.7% | $335.3M-0.6% | $337.2M+24.7% | $270.3M+22.0% | $221.6M+24.5% | $178.1M+29.9% | $137.1M+26.3% | $108.6M |
| Prepaid income taxes | $457K | $0 | — | $7.5M+859.5% | $782K-68.7% | $2.5M+2675.6% | $90K-97.6% | $3.8M |
| Prepaid expenses and other current assets | $27.6M+22.9% | $22.5M+7.4% | $21.0M-12.4% | $23.9M+58.2% | $15.1M-9.0% | $16.6M+53.6% | $10.8M+19.4% | $9.1M |
| Total current assets | $1.06B+10.9% | $953.8M+1.8% | $937.0M+14.9% | $815.3M+26.8% | $643.1M+1.3% | $634.8M+9.0% | $582.2M+75.5% | $331.7M |
| Property and equipment, net | $101.4M-8.1% | $110.4M-7.7% | $119.6M-6.0% | $127.2M-1.0% | $128.5M+46.5% | $87.7M+46.2% | $60.0M+17.7% | $51.0M |
| Goodwill | $938.1M+0.0% | $938.1M+0.0% | $938.1M+0.0% | $937.9M+16.5% | $804.9M+31.1% | $614.1M+9.2% | $562.1M+13.0% | $497.4M |
| Intangible assets, net | $210.6M-15.9% | $250.5M-15.9% | $298.1M-15.2% | $351.5M+14.3% | $307.6M+47.3% | $208.7M+1.3% | $206.1M+15.9% | $177.9M |
| Operating lease right-of-use assets, net | $52.3M-14.1% | $60.9M-3.4% | $63.0M-5.0% | $66.4M-0.0% | $66.4M+9.5% | $60.6M | $0 | — |
| Deferred tax assets | $69.0M+17.8% | $58.6M+116.3% | $27.1M | $0 | — | — | — | — |
| Other non-current assets | $5.2M-22.9% | $6.7M-21.6% | $8.5M+38.0% | $6.2M+32.4% | $4.7M-2.1% | $4.8M-26.9% | $6.5M+1.9% | $6.4M |
| Total assets | $2.43B+2.3% | $2.38B-0.5% | $2.39B+3.8% | $2.30B+17.9% | $1.96B+21.4% | $1.61B+13.7% | $1.42B+33.1% | $1.06B |
| Accounts payable | $79.1M-2.4% | $81.1M-22.0% | $104.0M+5.4% | $98.7M+105.8% | $48.0M+14.5% | $41.9M+7.3% | $39.0M+83.0% | $21.3M |
| Accrued expenses | $43.1M+0.5% | $42.9M+51.0% | $28.4M-18.7% | $35.0M+41.8% | $24.7M+3.6% | $23.8M+25.9% | $18.9M+15.3% | $16.4M |
| Accrued compensation | $51.3M+41.0% | $36.4M+19.7% | $30.4M-32.1% | $44.8M+11.9% | $40.0M-3.0% | $41.3M+43.2% | $28.8M+34.8% | $21.4M |
| Income taxes payable | $4.0M-47.5% | $7.7M+49.3% | $5.2M-43.3% | $9.1M+22.0% | $7.5M+81.4% | $4.1M+223.4% | $1.3M+27.6% | $998K |
| Deferred revenues and customer advances | $126.8M+71.5% | $73.9M+30.7% | $56.6M+265.2% | $15.5M-59.4% | $38.2M+101.2% | $19.0M+68.0% | $11.3M-10.4% | $12.6M |
| Total current liabilities | $300.4M+28.1% | $234.4M+0.5% | $233.3M+20.3% | $193.9M+28.6% | $150.8M+19.8% | $125.9M+28.4% | $98.0M+36.8% | $71.7M |
| Long-term debt | $591.5M+0.0% | $591.5M+15.6% | $511.5M+13.3% | $451.5M+125.8% | $200.0M | $0 | — | $195.0M |
| Operating lease liabilities | $52.7M-15.7% | $62.6M-6.3% | $66.8M-4.4% | $69.9M-2.3% | $71.5M+6.8% | $67.0M | $0 | — |
| Other non-current liabilities | $12.6M+27.5% | $9.9M+24.7% | $8.0M-23.5% | $10.4M-16.0% | $12.4M-17.6% | $15.0M-0.6% | $15.1M+34.1% | $11.3M |
| Total liabilities | $961.3M+6.1% | $906.1M+9.9% | $824.7M+7.5% | $767.2M+62.9% | $471.0M+108.5% | $225.9M+70.9% | $132.2M-54.8% | $292.6M |
| Preferred stock, $0.01 par value; 1,000,000 shares authorized; no shares issued or outstanding | $0 | $0 | $0 | $0 | $0 | $0 | $0 | $0 |
| Common stock, $0.01 par value; 85,000,000 shares authorized; 59,003,174 and 58,093,528 shares issued and outstanding at June 27, 2025 and June 28, 2024, respectively | $590K+1.5% | $581K+1.9% | $570K+2.3% | $557K+0.9% | $552K+0.9% | $547K+0.9% | $542K+15.6% | $469K |
| Additional paid-in capital | $1.29B+3.6% | $1.24B+3.8% | $1.20B+4.5% | $1.15B+3.2% | $1.11B+3.2% | $1.07B+1.5% | $1.06B+79.4% | $590.2M |
| Retained earnings | $181.9M-17.2% | $219.8M-38.5% | $357.4M-7.3% | $385.8M+3.0% | $374.5M+19.9% | $312.5M+37.8% | $226.7M+26.0% | $180.0M |
| Accumulated other comprehensive income | $3.5M-65.0% | $10.0M-15.5% | $11.8M+113.9% | $5.5M+1731.6% | -$339K+88.2% | -$2.9M-123.5% | -$1.3M-200.0% | $1.3M |
| Total shareholders’ equity | $1.47B+0.0% | $1.47B-6.0% | $1.57B+1.9% | $1.54B+3.6% | $1.48B+7.2% | $1.38B+7.8% | $1.28B+66.4% | $771.9M |
| Total liabilities and shareholders’ equity | $2.43B+2.3% | $2.38B-0.5% | $2.39B+3.8% | $2.30B+17.9% | $1.96B+21.4% | $1.61B+13.7% | $1.42B+33.1% | $1.06B |
Source: SEC EDGAR XBRL. % change vs prior period shown where available.
Source: SEC EDGAR 10-K and 10-Q filings. Up to 10 years annual / 16 quarters shown.