(Q2)Jun 30, 2024 | (Q1)Mar 31, 2024 | (FY)Dec 31, 2023 | (Q4)Dec 31, 2023 | (Q3)Sep 30, 2023 | (Q2)Jun 30, 2023 | (Q1)Mar 31, 2023 | (FY)Dec 31, 2022 | (Q4)Dec 31, 2022 | (Q3)Sep 30, 2022 | |
---|---|---|---|---|---|---|---|---|---|---|
Assets | ||||||||||
Current assets | ||||||||||
Cash, cash equivalents and short term investments | 7.10%93.34M | 9.29%91.6M | -0.42%78.35M | -0.42%78.35M | 26.28%89.22M | 35.87%87.15M | 57.97%83.81M | 32.68%78.68M | 32.68%78.68M | -7.49%70.65M |
-Cash and cash equivalents | 21.42%71.77M | 25.79%70.35M | -1.26%68.38M | -1.26%68.38M | -9.51%58.49M | 1.50%59.11M | 16.05%55.93M | 19.42%69.25M | 19.42%69.25M | -7.88%64.64M |
-Including:Cash | 21.42%71.77M | 25.79%70.35M | -22.06%46.6M | -22.06%46.6M | -9.51%58.49M | 1.50%59.11M | 16.05%55.93M | 11.33%59.79M | 11.33%59.79M | -7.88%64.64M |
-Including:Cash equivalents | ---- | ---- | 130.22%21.78M | 130.22%21.78M | ---- | ---- | ---- | 120.75%9.46M | 120.75%9.46M | ---- |
-Short term investments | -23.09%21.57M | -23.81%21.25M | 5.72%9.97M | 5.72%9.97M | 411.37%30.72M | 374.31%28.05M | 473.43%27.89M | 618.72%9.43M | 618.72%9.43M | -3.13%6.01M |
Receivables | 2.52%64.64M | -15.22%57.07M | -31.98%42.89M | -31.98%42.89M | -34.74%56.73M | -42.27%63.06M | -38.82%67.31M | -47.24%63.06M | -47.24%63.06M | -50.75%86.93M |
-Accounts receivable | 2.58%43.93M | -19.38%36.71M | -39.15%29.62M | -39.15%29.62M | -35.98%34.92M | -42.52%42.83M | -44.06%45.53M | -47.92%48.68M | -47.92%48.68M | -34.10%54.55M |
-Other receivables | 2.39%20.71M | -6.52%20.36M | -7.68%13.27M | -7.68%13.27M | -32.67%21.81M | -41.72%20.23M | -23.90%21.78M | -44.80%14.38M | -44.80%14.38M | -65.46%32.39M |
Inventory | 4.53%200.48M | 0.45%194.88M | 0.57%192.92M | 0.57%192.92M | -3.41%192.28M | -3.41%191.79M | 2.49%194.01M | 26.01%191.83M | 26.01%191.83M | 171.63%199.07M |
Prepaid assets | ---- | ---- | -7.03%10.24M | -7.03%10.24M | ---- | ---- | ---- | -15.18%11.02M | -15.18%11.02M | ---- |
Restricted cash | ---- | ---- | 248.02%3.83M | 248.02%3.83M | ---- | ---- | ---- | 106.40%1.1M | 106.40%1.1M | ---- |
Tax assets-Current | 13.79%1.37M | 21.06%1.25M | 33.93%1.2M | 33.93%1.2M | 39.73%1.14M | 278.62%1.2M | 231.73%1.04M | 185.05%892.77K | 185.05%892.77K | 110.28%818K |
Deferred assets-current | -18.39%38.31M | -14.11%40.15M | -16.45%43.01M | -16.45%43.01M | -19.74%44.74M | -13.04%46.94M | 3.08%46.74M | 48.86%51.48M | 48.86%51.48M | 47,542.74%55.74M |
Total current assets | 2.05%398.14M | -2.03%384.95M | -6.44%372.44M | -6.44%372.44M | -7.04%384.11M | -8.46%390.14M | -1.28%392.91M | 4.90%398.06M | 4.90%398.06M | 26.48%413.22M |
Non current assets | ||||||||||
Net PPE | 2.99%131.4M | 2.22%130.85M | 1.69%130.16M | 1.69%130.16M | 2.53%128.54M | 11.26%127.59M | 15.43%128M | 20.15%128M | 20.15%128M | 44.15%125.37M |
-Gross PP&E | 2.99%131.4M | 2.22%130.85M | 2.55%197.38M | 2.55%197.38M | 2.53%128.54M | 11.26%127.59M | 15.43%128M | 8.03%192.47M | 8.03%192.47M | 44.15%125.37M |
-Accumulated depreciation | ---- | ---- | -4.27%-67.22M | -4.27%-67.22M | ---- | ---- | ---- | 9.99%-64.47M | 9.99%-64.47M | ---- |
Investment properties | --5.38M | --5.4M | --5.43M | --5.43M | ---- | ---- | ---- | --0 | --0 | ---- |
Prepaid assets-non current | ---- | ---- | 4.56%2.3M | 4.56%2.3M | ---- | ---- | ---- | -12.16%2.2M | -12.16%2.2M | ---- |
Total investment | 12.50%32.68M | -8.82%28.14M | 10.00%29.96M | 10.00%29.96M | 50.00%40.86M | 28.00%29.05M | 105.79%30.87M | --27.24M | --27.24M | --27.24M |
-Long-term equity investment | ---- | ---- | --0 | --0 | ---- | ---- | ---- | --0 | --0 | ---- |
-Other investment | 12.50%32.68M | -8.82%28.14M | 10.00%29.96M | 10.00%29.96M | 50.00%40.86M | 28.00%29.05M | 105.79%30.87M | --27.24M | --27.24M | --27.24M |
Long-term accounts receivable and other receivables | -29.63%5.21M | -26.05%5.29M | -68.92%204.75K | -68.92%204.75K | -67.57%5.87M | -58.56%7.4M | -59.88%7.16M | -94.95%658.86K | -94.95%658.86K | -1.85%18.11M |
Goodwill and other intangible assets | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | -14.58%6.45M |
-Goodwill | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | 0.00%6.45M |
Deferred tax assets-non current | 237.04%91K | 237.04%91K | 237.04%91K | 237.04%91K | -98.64%27K | -98.64%27K | -98.64%27K | -98.64%27K | -98.64%27K | -34.65%1.99M |
Total non current assets | 6.52%174.77M | 2.24%169.78M | 6.34%168.14M | 6.34%168.14M | -2.15%175.29M | 0.25%164.08M | 9.13%166.05M | 21.14%158.12M | 21.14%158.12M | 54.43%179.15M |
Total assets | 3.37%572.91M | -0.76%554.73M | -2.80%540.58M | -2.80%540.58M | -5.56%559.41M | -6.05%554.22M | 1.60%558.97M | 9.05%556.18M | 9.05%556.18M | 33.81%592.37M |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Financial liabilities | 21.28%37.34M | 2.04%32.49M | -22.82%24.37M | -22.82%24.37M | -4.57%28.98M | -9.15%30.79M | 41.71%31.84M | 149.68%31.58M | 149.68%31.58M | 170.44%30.37M |
-Current debt and capital lease obligation | 21.28%37.34M | 2.04%32.49M | -22.82%24.37M | -22.82%24.37M | -4.57%28.98M | -9.15%30.79M | 41.71%31.84M | 149.68%31.58M | 149.68%31.58M | 170.44%30.37M |
-Including:Current debt | 22.41%36.57M | 2.45%31.75M | -22.03%23.68M | -22.03%23.68M | -5.37%28.21M | -10.64%29.88M | 43.94%30.99M | 160.54%30.37M | 160.54%30.37M | 177.15%29.81M |
-Including:Current capital Lease obligation | -15.86%769K | -13.09%737K | -42.89%687.22K | -42.89%687.22K | 38.17%771K | 99.56%914K | -9.40%848K | 21.70%1.2M | 21.70%1.2M | 17.97%558K |
Payables | 16.62%66.01M | 6.54%60.11M | 1.88%52.87M | 1.88%52.87M | -39.03%56.03M | -38.00%56.6M | -31.05%56.42M | 3.25%51.89M | 3.25%51.89M | 91.93%91.89M |
-accounts payable | 2.02%22.59M | 3.46%21.26M | -5.53%20.28M | -5.53%20.28M | -15.40%20.85M | -25.25%22.15M | -17.69%20.55M | -41.60%21.47M | -41.60%21.47M | -13.91%24.65M |
-Total tax payable | 66.13%206K | 156.92%334K | 305.15%562.41K | 305.15%562.41K | --0 | -93.60%124K | -93.59%130K | -93.73%138.81K | -93.73%138.81K | -94.03%127K |
-Other payable | 25.86%43.21M | 7.77%38.52M | 5.75%32.02M | 5.75%32.02M | -47.59%35.18M | -42.52%34.33M | -34.81%35.74M | 168.42%30.28M | 168.42%30.28M | 292.00%67.11M |
Current provisions | ---- | ---- | -5.62%471.28K | -5.62%471.28K | ---- | ---- | ---- | --499.33K | --499.33K | ---- |
Accrued and deferred income | -14.77%48.73M | -16.21%51.14M | -21.27%54.76M | -21.27%54.76M | -23.34%54.76M | -19.94%57.17M | -5.53%61.04M | 7.54%69.55M | 7.54%69.55M | 36.82%71.43M |
Current liabilities | 5.20%152.07M | -3.72%143.74M | -13.71%132.47M | -13.71%132.47M | -27.84%139.76M | -26.47%144.56M | -11.61%149.29M | 20.33%153.52M | 20.33%153.52M | 74.00%193.68M |
Non current liabilities | ||||||||||
Non current financial liabilities | -5.47%34.85M | -6.35%35.3M | -6.73%35.32M | -6.73%35.32M | 254.27%36.18M | 248.07%36.87M | 233.73%37.69M | 303.62%37.87M | 303.62%37.87M | 76.45%10.21M |
-Long term debt and capital lease obligation | -5.47%34.85M | -6.35%35.3M | -6.73%35.32M | -6.73%35.32M | 254.27%36.18M | 248.07%36.87M | 233.73%37.69M | 303.62%37.87M | 303.62%37.87M | 76.45%10.21M |
-Including:Long term debt | -5.69%33.25M | -5.97%33.67M | -6.10%33.86M | -6.10%33.86M | 281.21%34.71M | 265.33%35.26M | 238.05%35.81M | 322.86%36.06M | 322.86%36.06M | 71.15%9.11M |
-Including:Long term capital lease obligation | -0.68%1.6M | -13.47%1.63M | -19.35%1.46M | -19.35%1.46M | 32.94%1.47M | 71.23%1.61M | 168.52%1.89M | 111.69%1.81M | 111.69%1.81M | 136.75%1.11M |
Long term accounts payable and other payables | 3.85%85.45M | 2.42%84.46M | -31.91%952.08K | -31.91%952.08K | 1.27%81.09M | 3.74%82.28M | 3.31%82.46M | -45.48%1.4M | -45.48%1.4M | 1,602.98%80.07M |
Non current deferred liabilities | 135.44%1.94M | 135.44%1.94M | 135.13%1.94M | 135.13%1.94M | 31.84%824K | 31.84%824K | 31.84%824K | 31.80%824.27K | 31.80%824.27K | -49.56%625K |
Non current accrued and deferred income | ---- | ---- | 3.80%81.58M | 3.80%81.58M | ---- | ---- | ---- | 3.80%78.6M | 3.80%78.6M | ---- |
Total non current liabilities | 1.89%122.24M | 0.60%121.7M | 0.93%119.79M | 0.93%119.79M | 29.90%118.1M | 32.53%119.98M | 31.87%120.98M | 34.42%118.68M | 34.42%118.68M | 127.00%90.91M |
Total liabilities | 3.70%274.31M | -1.79%265.44M | -7.33%252.26M | -7.33%252.26M | -9.39%257.86M | -7.87%264.54M | 3.70%270.27M | 26.10%272.2M | 26.10%272.2M | 88.03%284.59M |
Shareholders'equity | ||||||||||
Share capital | -16.01%262.28M | -16.01%262.28M | 0.00%312.28M | 0.00%312.28M | 0.00%312.28M | 0.00%312.28M | 4.19%312.27M | 4.33%312.27M | 4.33%312.27M | 4.33%312.27M |
-common stock | -16.01%262.28M | -16.01%262.28M | 0.00%312.28M | 0.00%312.28M | 0.00%312.28M | 0.00%312.28M | 4.19%312.27M | 4.33%312.27M | 4.33%312.27M | 4.33%312.27M |
Additional paid-in capital | --0 | --0 | --0 | --0 | --0 | 0.00%-10.13M | 55.01%-10.13M | 55.23%-10.13M | 55.23%-10.13M | 55.23%-10.13M |
Retained earnings | 172.57%23M | 159.35%20.11M | 6.07%-32.57M | 6.07%-32.57M | -98.61%-31.64M | -47.59%-31.69M | -123.16%-33.88M | -95.20%-34.68M | -95.20%-34.68M | 25.66%-15.93M |
Other reserves | 62.45%9.64M | -31.04%5.1M | 80.69%6.73M | 80.69%6.73M | 93.70%17.77M | -32.98%5.93M | 384.03%7.4M | -56.20%3.73M | -56.20%3.73M | 7.46%9.18M |
Other equity interest | ---- | ---- | ---- | ---- | ---- | 0.00%10.13M | -55.01%10.13M | -55.23%10.13M | -55.23%10.13M | -55.23%10.13M |
Total stockholders'equity | 2.93%294.91M | 0.59%287.48M | 1.82%286.43M | 1.82%286.43M | -2.33%298.41M | -4.38%286.52M | -0.09%285.79M | -3.01%281.32M | -3.01%281.32M | 6.67%305.52M |
Noncontrolling interests | 16.46%3.69M | -37.66%1.81M | -28.88%1.89M | -28.88%1.89M | 38.78%3.14M | 1.44%3.17M | -17.02%2.91M | -34.96%2.66M | -34.96%2.66M | -54.17%2.26M |
Total equity | 3.08%298.6M | 0.21%289.29M | 1.53%288.32M | 1.53%288.32M | -2.02%301.55M | -4.32%289.68M | -0.29%288.7M | -3.45%283.97M | -3.45%283.97M | 5.64%307.78M |
Accounting Standards | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP |
FY: Financial Year. Refers to the 10-K file disclosed by the listed company to the SEC.
Q: Quarter. Refers to the 10-Q file disclosed by the listed company to the SEC. Q1, Q2, Q3, and Q4 are quarterly reports each with a span of 3 months; Q6 and Q9 are cumulative reports, with Q6 including 6 months and Q9 9 months.
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