Discounted Cash Flow Rating
Buy
Return on Equity Rating
Neutral
Debt to Equity Rating
Neutral
Price to Earnings Rating
Sell
Analyst Rating
Neutral
Wall Street Data Solutions Rating
Neutral
B
Materialise NV (MTLS)
Materialise NV is a provider of 3D printing services. The products and services of the group are organized in the three segments: Medical segment, which develops and delivers medical software solutions, medical devices, and other related products and services; Software segment, which develops and delivers additive manufacturing software solutions and related services; and Manufacturing segment, which delivers 3D printed products and related services. Its geographical segments are the United States, the Americas (excluding the USA), Belgium, Germany, France, Switzerland, the United Kingdom, Italy, Netherlands, Other Europe, and the Asia Pacific.
Current Price
---.--
% Change Today
0.00%
Change Amt. Today
0.00
Active Status
Active
Listing Date
06/25/2014
Market Cap
318,076,797
Shares Outstanding
59,070,000
Weighted SO
59,067,186
Total Employees
N/A
Upcoming Earnings
07/24/2024
Beta
1.1290
Last Div
0.0000
Range
4.7-7.03
Chg
-0.0150
Avg Vol
73925
Mkt Cap
318076797
Exch
NASDAQ
Country
BE
Phone
32 1 639 66 11
DCF Diff
-2.1520
DCF
7.5520
Div Yield
0.0000
P/S
1.1251
EV Multiple
6.6645
P/FV
1.1878
Div Yield %
0.0000
P/E
26.2907
PEG
3.7215
Payout
0.0000
Current Ratio
1.8379
Quick Ratio
1.6751
Cash Ratio
1.1444
DSO
70.5889
DIO
58.6884
Op Cycle
129.2773
DPO
78.1503
CCC
51.1270
Gross Margin
0.5677
Op Margin
0.0345
Pretax Margin
0.0440
Net Margin
0.0428
Eff Tax Rate
0.0289
ROA
0.0276
ROE
0.0459
ROCE
0.0308
NI/EBT
0.9717
EBT/EBIT
1.2763
EBIT/Rev
0.0345
Debt Ratio
0.1317
D/E
0.2154
LT Debt/Cap
0.1018
Total Debt/Cap
0.1772
Int Coverage
2.1838
CF/Debt
0.4835
Equity Multi
1.6350
Rec Turnover
5.1708
Pay Turnover
4.6705
Inv Turnover
6.2193
FA Turnover
2.3202
Asset Turnover
0.6457
OCF/Share
0.4290
FCF/Share
0.1319
Cash/Share
2.1258
OCF/Sales
0.0986
FCF/OCF
0.3074
CF Coverage
0.4835
ST Coverage
1.0210
CapEx Coverage
1.4438
Div&CapEx Cov
1.4438
P/BV
1.1878
P/B
1.1878
P/S
1.1251
P/E
26.2907
P/FCF
37.1086
P/OCF
11.4067
P/CF
11.4067
PEG
3.7215
P/S
1.1251
EV Multiple
6.6645
P/FV
1.1878
DPS
0.0000
Latest Headlines (EST)
No Headlines Found
Revenue Product Segmentation
2019 | 2020 | 2021 | 2022 | 2023 | 2024 | 2024 | |
---|---|---|---|---|---|---|---|
Revenue | XXXXXXXX | ▲ XXXXXXXX | ▼ XXXXXXXX | ▲ XXXXXXXX | ▲ XXXXXXXX | ▲ 64.01M | ▼ 63.62M |
Cost Of Revenue | XXXXXXXX | ▲ XXXXXXXX | ▼ XXXXXXXX | ▲ XXXXXXXX | ▲ XXXXXXXX | ▲ 27.87M | ▼ 27.04M |
Gross Profit | XXXXXXXX | ▲ XXXXXXXX | ▼ XXXXXXXX | ▲ XXXXXXXX | ▲ XXXXXXXX | ▲ 36.15M | ▲ 36.58M |
Gross Profit Ratio | X.XXXXXXXXXX | ▲ X.XXXXXXXXXX | ▲ X.XXXXXXXXXX | ▲ X.XXXXXXXXXX | ▼ X.XXXXXXXXXX | ▼ 0.56 | ▲ 0.58 |
Research And Development Expenses | XXXXXXX | ▲ XXXXXXX | ▲ XXXXXXX | ▼ XXXXXXX | ▲ XXXXXXXX | ▼ 10.29M | ▼ 9.86M |
General And Administrative Expenses | XXXXXXX | ▼ XXXXXXX | ▲ XXXXXXX | ▲ XXXXXXX | ▼ XXXXXXX | ▲ 9.31M | ▲ 52.59M |
Selling And Marketing Expenses | XXXXXXXX | ▲ XXXXXXXX | ▼ XXXXXXXX | ▲ XXXXXXXX | ▲ XXXXXXXX | ▼ 14.60M | ▼ -31.98M |
Selling General And Administrative Expenses | XXXXXXXX | ▼ XXXXXXXX | ▼ XXXXXXXX | ▲ XXXXXXXX | ▲ XXXXXXXX | ▼ 24.05M | ▲ 24.61M |
Other Expenses | XXXXXXX | ▼ XXXXXXX | ▼ XXXXXXX | ▲ XXXXXXX | ▼ -XXXXXX | ▲ 0.00 | 0.00 |
Operating Expenses | XXXXXXXX | ▼ XXXXXXXX | ▲ XXXXXXXX | ▲ XXXXXXXX | ▲ XXXXXXXX | ▼ 34.34M | ▲ 34.47M |
Cost And Expenses | XXXXXXXX | ▼ XXXXXXXX | ▼ XXXXXXXX | ▲ XXXXXXXX | ▲ XXXXXXXX | ▼ 62.20M | ▼ 61.50M |
Interest Income | XXXXXX | ▼ XXXXXX | XXXXXX | ▲ XXXXXXX | ▼ XXXXXX | ▲ 2.31M | ▼ 31.18K |
Interest Expense | XXXXXXX | ▼ XXXXXXX | ▲ XXXXXXX | ▼ XXXXXX | ▲ XXXXXXX | ▼ 798.00K | ▼ 259.17K |
Depreciation And Amortization | XXXXXXX | ▲ XXXXXXX | ▼ XXXXXXX | ▲ XXXXXXX | ▼ XXXXXX | ▲ 5.47M | ▼ 5.18M |
Ebitda | XXXXXXX | ▲ XXXXXXX | ▼ XXXXXX | ▲ XXXXXXX | ▼ -XXXXXX | ▲ 7.28M | ▲ 7.30M |
Ebitda Ratio | X.XXXXXXXXXX | ▲ X.XXXXXXXXXX | ▼ X.XXXXXXXXXX | ▲ X.XXXXXXXXXX | ▼ -X.XXXXXXXXXX | ▲ 0.11 | ▲ 0.11 |
Operating Income | XXXXXX | ▲ XXXXXXX | ▼ -XXXXXXX | ▲ XXXXXXX | ▼ -XXXXXXX | ▲ 1.81M | ▲ 2.12M |
Operating Income Ratio | X.XXXXXXXXX | ▲ X.XXXXXXXXX | ▼ -X.XXXXXXXXX | ▲ X.XXXXXXXXX | ▼ -X.XXXXXXXXX | ▲ 0.03 | ▲ 0.03 |
Total Other Income Expenses Net | -XXXXXX | ▲ -XXXXXX | ▼ -XXXXXXX | ▲ XXXXXX | ▼ -XXXXXXX | ▲ 2.31M | ▼ -3.43M |
Income Before Tax | XXXXXX | ▲ XXXXXXX | ▼ -XXXXXXX | ▲ XXXXXXX | ▼ -XXXXXXX | ▲ 4.12M | ▼ -1.31M |
Income Before Tax Ratio | X.XXXXXXXXXX | ▲ X.XXXXXXXXXX | ▼ -X.XXXXXXXXXX | ▲ X.XXXXXXXXXX | ▼ -X.XXXXXXXXXX | ▲ 0.06 | ▼ -0.02 |
Income Tax Expense | -XXXXXX | ▲ XXXXXX | ▼ -XXXXXX | ▲ XXXXXX | ▼ -XXXXXX | ▲ 514.01K | ▼ -788.24K |
Net Income | XXXXXX | ▲ XXXXXXX | ▼ -XXXXXXX | ▲ XXXXXXX | ▼ -XXXXXXX | ▲ 3.59M | ▼ -515.43K |
Net Income Ratio | X.XXXXXXXXXX | ▲ X.XXXXXXXXXX | ▼ -X.XXXXXXXXXX | ▲ X.XXXXXXXXXX | ▼ -X.XXXXXXXXXX | ▲ 0.06 | ▼ -0.01 |
Eps | X.XX | ▲ X.XX | ▼ -X.XX | ▲ X.XX | ▼ -X.XX | ▲ 0.06 | ▼ -0.01 |
Eps Diluted | X.XX | ▲ X.XX | ▼ -X.XX | ▲ X.XX | ▼ -X.XX | ▲ 0.06 | ▼ -0.01 |
Weighted Average Shs Out | XXXXXXXX | ▲ XXXXXXXX | ▲ XXXXXXXX | ▲ XXXXXXXX | ▲ XXXXXXXX | ▼ 59.07M | 59.07M |
Weighted Average Shs Out Dil | XXXXXXXX | ▲ XXXXXXXX | ▲ XXXXXXXX | ▲ XXXXXXXX | ▲ XXXXXXXX | ▲ 59.09M | ▼ 59.07M |
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2019 | 2020 | 2021 | 2022 | 2023 | 2024 | 2024 | |
---|---|---|---|---|---|---|---|
Cash And Cash Equivalents | XXXXXXXXX | ▲ XXXXXXXXX | ▼ XXXXXXXXX | ▲ XXXXXXXXX | ▼ XXXXXXXXX | ▼ 129.02M | ▼ 127.68M |
Short Term Investments | X | ▲ XXXXXXX | ▼ X | X | X | 0.00 | 0.00 |
Cash And Short Term Investments | XXXXXXXXX | ▲ XXXXXXXXX | ▼ XXXXXXXXX | ▲ XXXXXXXXX | ▼ XXXXXXXXX | ▼ 129.02M | ▼ 127.68M |
Net Receivables | XXXXXXXX | ▲ XXXXXXXX | ▼ XXXXXXXX | ▲ XXXXXXXX | ▲ XXXXXXXX | ▼ 48.64M | ▲ 52.74M |
Inventory | XXXXXXX | ▲ XXXXXXXX | ▼ XXXXXXXX | ▲ XXXXXXXX | ▲ XXXXXXXX | ▲ 17.03M | ▲ 17.05M |
Other Current Assets | XXXXXXX | ▲ XXXXXXX | ▼ XXXXXXX | ▲ XXXXXXX | ▼ XXXXXXX | ▲ 9.09M | ▲ 9.17M |
Total Current Assets | XXXXXXXXX | ▲ XXXXXXXXX | ▼ XXXXXXXXX | ▲ XXXXXXXXX | ▼ XXXXXXXXX | ▼ 203.78M | ▲ 206.64M |
Property Plant Equipment Net | XXXXXXXX | ▲ XXXXXXXXX | ▼ XXXXXXXX | ▼ XXXXXXXX | ▲ XXXXXXXXX | ▲ 104.60M | ▼ 103.59M |
Goodwill | XXXXXXXX | ▲ XXXXXXXX | ▲ XXXXXXXX | ▼ XXXXXXXX | ▲ XXXXXXXX | ▼ 43.28M | ▼ 43.19M |
Intangible Assets | XXXXXXXX | ▲ XXXXXXXX | ▲ XXXXXXXX | ▼ XXXXXXXX | ▲ XXXXXXXX | ▼ 30.28M | ▲ 31.46M |
Goodwill And Intangible Assets | XXXXXXXX | ▲ XXXXXXXX | ▲ XXXXXXXX | ▼ XXXXXXXX | ▲ XXXXXXXX | ▼ 73.51M | ▲ 74.62M |
Long Term Investments | XXXXXXX | ▼ XXXXX | ▲ XXXXXXXX | ▼ XXXXXXX | ▼ XXXXXXX | ▲ 3.81M | ▼ 3.75M |
Tax Assets | XXXXXX | ▼ XXXXXX | ▲ XXXXXX | ▲ XXXXXX | ▲ XXXXXXX | ▲ 2.78M | ▲ 2.80M |
Other Non Current Assets | XXXXXXX | ▲ XXXXXXX | ▼ XXXXXXX | ▲ XXXXXXX | ▼ XXXXXXX | ▲ 6.13M | ▼ 5.57M |
Total Non Current Assets | XXXXXXXXX | ▲ XXXXXXXXX | ▲ XXXXXXXXX | ▼ XXXXXXXXX | ▲ XXXXXXXXX | ▼ 190.82M | ▼ 190.32M |
Other Assets | X | X | X | X | ▲ XXXX | ▼ 1.00 | ▼ 0.00 |
Total Assets | XXXXXXXXX | ▲ XXXXXXXXX | ▼ XXXXXXXXX | ▲ XXXXXXXXX | ▼ XXXXXXXXX | ▼ 394.60M | ▲ 396.96M |
Account Payables | XXXXXXXX | ▼ XXXXXXXX | ▼ XXXXXXXX | ▲ XXXXXXXX | ▲ XXXXXXXX | ▼ 19.76M | ▲ 21.21M |
Short Term Debt | XXXXXXXX | ▲ XXXXXXXX | ▲ XXXXXXXX | ▲ XXXXXXXX | ▼ XXXXXXXX | ▲ 24.97M | ▲ 25.50M |
Tax Payables | XXXXXXX | ▲ XXXXXXX | ▼ XXXXXX | ▼ XXXXXX | ▲ XXXXXXX | ▲ 2.15M | ▼ 1.78M |
Deferred Revenue | XXXXXXXX | ▲ XXXXXXXX | ▲ XXXXXXXX | ▲ XXXXXXXX | ▲ XXXXXXXX | ▲ 44.27M | ▼ 40.82M |
Other Current Liabilities | XXXXXXXX | ▲ XXXXXXXX | ▼ XXXXXXXX | ▼ XXXXXXXX | ▲ XXXXXXXX | ▼ 17.87M | ▼ 17.49M |
Total Current Liabilities | XXXXXXXX | ▲ XXXXXXXX | ▲ XXXXXXXX | ▲ XXXXXXXX | ▲ XXXXXXXXX | ▲ 106.87M | ▼ 105.04M |
Long Term Debt | XXXXXXXX | ▲ XXXXXXXXX | ▼ XXXXXXXX | ▼ XXXXXXXX | ▼ XXXXXXXX | ▼ 29.13M | ▲ 33.61M |
Deferred Revenue Non Current | XXXXXXX | ▲ XXXXXXX | ▲ XXXXXXX | ▼ XXXXXXX | ▲ XXXXXXX | ▼ 7.93M | ▲ 10.71M |
Deferred Tax Liabilities Non Current | XXXXXXX | ▼ XXXXXXX | ▲ XXXXXXX | ▼ XXXXXXX | ▼ XXXXXXX | ▼ 3.57M | ▲ 3.73M |
Other Non Current Liabilities | XXXXXX | ▼ XXXXXX | ▼ XXXXXX | ▲ XXXXXXX | ▼ XXXXXXX | ▲ 6.91M | ▲ 7.08M |
Total Non Current Liabilities | XXXXXXXXX | ▲ XXXXXXXXX | ▼ XXXXXXXXX | ▼ XXXXXXXX | ▼ XXXXXXXX | ▼ 47.54M | ▲ 55.13M |
Other Liabilities | X | X | X | X | X | ▲ 1.00 | ▼ 0.00 |
Capital Lease Obligations | X | ▲ XXXXXXX | ▲ XXXXXXXX | ▼ XXXXXXX | ▼ XXXXXXX | ▼ 5.65M | ▼ 5.34M |
Total Liabilities | XXXXXXXXX | ▲ XXXXXXXXX | ▼ XXXXXXXXX | ▼ XXXXXXXXX | ▲ XXXXXXXXX | ▼ 154.40M | ▲ 160.17M |
Preferred Stock | X | X | ▲ XXXXXXX | ▼ XXXXXXX | ▼ X | 0.00 | ▲ 2.86M |
Common Stock | XXXXXXX | ▲ XXXXXXX | ▲ XXXXXXX | ▲ XXXXXXX | ▲ XXXXXXX | ▲ 4.49M | ▼ 4.49M |
Retained Earnings | X | X | ▼ -XXXXXXXX | ▲ -XXXXXX | ▼ -XXXXXXX | ▲ 1.54M | ▼ -1.78M |
Accumulated Other Comprehensive Income Loss | -XXXXXXX | ▲ -XXXXXXX | ▼ -XXXXXXX | ▼ -XXXXXXX | ▼ -XXXXXXX | ▲ 0.00 | ▼ -7.35M |
Other Total Stockholders Equity | XXXXXXXXX | ▲ XXXXXXXXX | ▲ XXXXXXXXX | ▲ XXXXXXXXX | ▲ XXXXXXXXX | ▼ 234.23M | ▲ 238.63M |
Total Stockholders Equity | XXXXXXXXX | ▲ XXXXXXXXX | ▼ XXXXXXXXX | ▲ XXXXXXXXX | ▼ XXXXXXXXX | ▲ 240.26M | ▼ 236.84M |
Total Equity | XXXXXXXXX | ▲ XXXXXXXXX | ▼ XXXXXXXXX | ▲ XXXXXXXXX | ▼ XXXXXXXXX | ▲ 240.20M | ▼ 236.79M |
Total Liabilities And Stockholders Equity | XXXXXXXXX | ▲ XXXXXXXXX | ▼ XXXXXXXXX | ▲ XXXXXXXXX | ▼ XXXXXXXXX | ▼ 394.60M | ▲ 396.96M |
Minority Interest | X | ▲ XXXXXXX | ▼ X | ▼ -XXXX | ▼ -XXXXX | ▼ -60.06K | ▲ -53.04K |
Total Liabilities And Total Equity | XXXXXXXXX | ▲ XXXXXXXXX | ▼ XXXXXXXXX | ▲ XXXXXXXXX | ▼ XXXXXXXXX | ▼ 394.60M | ▲ 396.96M |
Total Investments | XXXXXXX | ▲ XXXXXXX | ▲ XXXXXXXX | ▼ XXXXXXX | ▼ XXXXXXX | ▲ 3.81M | ▼ 3.75M |
Total Debt | XXXXXXXXX | ▲ XXXXXXXXX | ▼ XXXXXXXXX | ▼ XXXXXXXX | ▼ XXXXXXXX | ▼ 59.74M | ▲ 64.45M |
Net Debt | -XXXXXXX | ▲ -XXXXXX | ▲ XXXXXXX | ▼ -XXXXXXXX | ▲ -XXXXXXXX | ▼ -69.28M | ▲ -63.23M |
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2019 | 2020 | 2021 | 2022 | 2023 | 2024 | 2024 | |
---|---|---|---|---|---|---|---|
Net Income | XXXXXX | ▲ XXXXXXX | ▼ -XXXXXXX | ▲ XXXXXXX | ▼ -XXXXXXX | ▲ 3.61M | ▼ -515.43K |
Depreciation And Amortization | XXXXXXX | ▲ XXXXXXX | ▼ XXXXXXX | ▲ XXXXXXX | ▲ XXXXXXX | ▼ 5.47M | ▼ 5.18M |
Deferred Income Tax | -XXXXXX | ▲ XXXXXX | ▼ -XXXXXX | ▲ XXXXXX | ▼ -XXXXXX | ▲ 513.00K | ▼ -808.19K |
Stock Based Compensation | XXXXXX | ▼ -XXXXXX | ▲ XXXXXX | ▼ -XXXXXX | ▲ X | ▲ 71.00K | ▼ 39.00K |
Change In Working Capital | XXXXXXX | ▼ -XXXXXXX | ▲ XXXXXXX | ▼ -XXXXXXX | ▼ -XXXXXXX | ▲ 1.04M | ▼ -8.69M |
Accounts Receivables | XXXXX | ▼ -XXXXXXX | ▲ XXXXXXX | ▼ -XXXXXXX | ▼ -XXXXXXX | ▲ 3.73M | ▼ -12.08M |
Inventory | XXXXXX | ▼ -XXXXXX | ▲ -XXXXX | ▲ XXXXXX | ▼ -XXXXXX | ▲ -10.06K | ▼ -44.02K |
Accounts Payables | XXXXXXX | ▼ XXXXXXX | ▲ XXXXXXX | ▼ XXXXXXX | ▼ -XXXXXXX | ▼ -3.33M | ▲ -1.54M |
Other Working Capital | X | X | ▼ -XXXX | ▲ X | ▼ -XXXXXX | ▲ 646.78K | ▲ 4.98M |
Other Non Cash Items | XXXXXXX | ▼ XXXXXXX | ▲ XXXXXXX | ▼ -XXXXXX | ▲ XXXXXXX | ▲ 9.59M | ▼ 4.34M |
Net Cash Provided By Operating Activities | XXXXXXXX | ▼ XXXXXXX | ▲ XXXXXXXX | ▼ XXXXXXX | ▼ -XXXXXXX | ▲ 9.67M | ▼ -451.56K |
Investments In Property Plant And Equipment | -XXXXXXX | ▲ -XXXXXXX | ▲ -XXXXXXX | ▼ -XXXXXXX | ▼ -XXXXXXX | ▲ -2.85M | ▲ -2.27M |
Acquisitions Net | -XXXXXXX | ▲ XXXXXX | ▼ -XXXXXXX | ▲ XXXXXX | ▼ XXXXX | ▲ 207.21K | ▼ 67.74K |
Purchases Of Investments | -XXXXXXX | ▲ X | X | X | X | 0.00 | 0.00 |
Sales Maturities Of Investments | -XXXXXX | ▲ X | X | X | X | 0.00 | 0.00 |
Other Investing Activities | XXXXXXX | ▼ XXXXXX | ▼ -XXXXXX | ▼ -XXXXXXX | ▲ -XXXXXX | ▲ 1.01K | ▼ 1.00 |
Net Cash Used For Investing Activities | -XXXXXXX | ▲ -XXXXXXX | ▼ -XXXXXXXX | ▲ -XXXXXXX | ▲ -XXXXXXX | ▲ -2.64M | ▲ -2.20M |
Debt Repayment | -XXXXXXX | ▼ -XXXXXXX | ▲ -XXXXXXX | ▲ -XXXXXXX | ▲ -XXXXXXX | ▼ -4.90M | ▲ -2.14M |
Common Stock Issued | XXXXXX | ▼ X | X | X | ▲ XXXXX | ▼ 0.00 | 0.00 |
Common Stock Repurchased | X | X | X | X | X | 0.00 | 0.00 |
Dividends Paid | X | X | X | X | X | 0.00 | 0.00 |
Other Financing Activities | XXXXXXX | ▲ XXXXXXX | ▲ XXXXXXX | ▼ XXXXXXX | ▼ -XXXXXXX | ▲ -5.03K | ▼ -312.03K |
Net Cash Used Provided By Financing Activities | -XXXXXXX | ▼ -XXXXXXX | ▲ -XXXXXXX | ▲ -XXXXXXX | ▼ -XXXXXXX | ▼ -5.67M | ▲ -3.31M |
Effect Of Forex Changes On Cash | XXXXX | ▼ -XXXXXX | ▲ XXXXX | ▲ XXXXXX | ▲ XXXXXXX | ▼ -22.00K | ▼ -169.00K |
Net Change In Cash | XXXXXX | ▼ -XXXXXXX | ▲ XXXXXX | ▲ XXXXXXX | ▼ -XXXXXXX | ▲ 1.34M | ▼ -6.49M |
Cash At End Of Period | XXXXXXXXX | ▲ XXXXXXXXX | ▼ XXXXXXXXX | ▲ XXXXXXXXX | ▼ XXXXXXXXX | ▼ 129.02M | ▼ 127.68M |
Cash At Beginning Of Period | XXXXXXXXX | ▲ XXXXXXXXX | ▼ XXXXXXXXX | ▲ XXXXXXXXX | ▼ XXXXXXXXX | ▼ 127.68M | ▲ 134.16M |
Operating Cash Flow | XXXXXXXX | ▼ XXXXXXX | ▲ XXXXXXXX | ▼ XXXXXXX | ▼ -XXXXXXX | ▲ 9.67M | ▼ -451.56K |
Capital Expenditure | -XXXXXXX | ▲ -XXXXXXX | ▲ -XXXXXXX | ▼ -XXXXXXX | ▼ -XXXXXXX | ▲ -2.85M | ▲ -2.27M |
Free Cash Flow | XXXXXXX | ▼ XXXXXXX | ▲ XXXXXXXX | ▼ XXXXXXX | ▼ -XXXXXXX | ▲ 6.82M | ▼ -2.72M |
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