v3.26.3
CONSOLIDATED STATEMENTS OF FINANCIAL POSITION - USD ($)
$ in Thousands
Jun. 30, 2026
Dec. 31, 2025
CURRENT ASSETS:    
Cash and cash equivalents $ 62,108 $ 67,700
Restricted cash 251 251
Trade receivables, net 7,032 4,111
Inventory, net 7,310 6,523
Other current financial assets 1,060 1,432
Other current assets 3,663 3,807
Total current assets 81,424 83,824
NON-CURRENT ASSETS:    
System components 2,073 1,584
Leased systems, net 5,153 4,860
Other property and equipment, net 868 788
Right-of-use assets 5,294 5,548
Other long-term assets 2,163 1,931
Other non-current financial assets 25,000 14,656
Total non-current assets 40,551 29,367
Total assets 121,975 113,191
CURRENT LIABILITIES:    
Trade payables 2,503 2,428
Deferred revenues 10,232 10,551
Liability in respect of government grants 1,854 1,679
Current maturities of lease liabilities 1,239 1,075
Other accounts payable 6,845 6,762
Total current liabilities 22,673 22,495
NON-CURRENT LIABILITIES:    
Deferred revenues 9,826 6,762
Liability in respect of government grants 4,393 5,029
Lease liabilities 5,894 5,742
Total non-current liabilities 20,113 17,533
EQUITY:    
Ordinary share value 440 430
Share premium 164,187 162,221
Reserve for share-based payment 2,556 3,506
Currency translation adjustments (2,188) (2,188)
Accumulated deficit (85,806) (90,806)
Total equity 79,189 73,163
Total equity and liabilities $ 121,975 $ 113,191