(Q1)Mar 31, 2024 | (FY)Dec 31, 2023 | (Q4)Dec 31, 2023 | (Q1)Mar 31, 2023 | (FY)Dec 31, 2022 | (Q4)Dec 31, 2022 | (FY)Dec 31, 2021 | |
---|---|---|---|---|---|---|---|
Operating Cash Flow (Indirect Method) | |||||||
Cash flow from continuing operating activities | -5.35%-6.74M | -14.46%-25.65M | -23.15%-7.09M | -6.4M | -16.08%-22.41M | -5.76M | -19.31M |
Net income from continuing operations | 13.56%-8.02M | -61.14%-38.15M | -68.72%-10.18M | ---9.28M | -18.73%-23.67M | ---6.03M | ---19.94M |
Operating gains losses | 142.42%80K | --45K | ---41K | --33K | ---- | ---- | ---744K |
Depreciation and amortization | 166.13%330K | 7.47%532K | -1.48%133K | --124K | 47.32%495K | --135K | --336K |
Other non cash items | -167.69%-1.63M | 5,791.84%8.66M | 11,602.63%4.45M | --2.4M | --147K | --38K | ---- |
Change In working capital | 1,172.38%2.3M | 745.15%2.79M | -4,143.24%-1.57M | --181K | -43.01%330K | ---37K | --579K |
-Change in receivables | 204.48%70K | -312.12%-70K | -92.86%3K | ---67K | -17.50%33K | --42K | --40K |
-Change in inventory | -186.73%-281K | -8,602.86%-2.98M | -1,844.23%-3.03M | ---98K | 107.40%35K | ---156K | ---473K |
-Change in prepaid assets | -32.33%90K | 228.13%410K | 109.57%29K | --133K | -627.27%-320K | ---303K | ---44K |
-Change in payables and accrued expense | 878.97%2.47M | 665.21%5.59M | 472.97%2.4M | --252K | -31.84%730K | --418K | --1.07M |
-Change in other current liabilities | -10.26%-43K | -8.78%-161K | -2,418.42%-957K | ---39K | -886.67%-148K | ---38K | ---15K |
Cash from discontinued investing activities | |||||||
Operating cash flow | -5.35%-6.74M | -14.46%-25.65M | -23.15%-7.09M | ---6.4M | -16.08%-22.41M | ---5.76M | ---19.31M |
Investing cash flow | |||||||
Cash flow from continuing investing activities | -149.23%-162K | 32.00%-340K | -350.00%-20K | -65K | 60.69%-500K | 8K | -1.27M |
Net PPE purchase and sale | -170.00%-162K | 32.04%-333K | -211.11%-20K | ---60K | 61.05%-490K | --18K | ---1.26M |
Net intangibles purchase and sale | --0 | 30.00%-7K | --0 | ---5K | 28.57%-10K | ---10K | ---14K |
Cash from discontinued investing activities | |||||||
Investing cash flow | -149.23%-162K | 32.00%-340K | -350.00%-20K | ---65K | 60.69%-500K | --8K | ---1.27M |
Financing cash flow | |||||||
Cash flow from continuing financing activities | 217.13%9.57M | 129.66%21.88M | -30.79%6.58M | 3.02M | 7,226.92%9.53M | 9.5M | 130K |
Net issuance payments of debt | 219.03%9.57M | 130.07%21.86M | -30.83%6.57M | --3M | --9.5M | --9.5M | --0 |
Proceeds from stock option exercised by employees | --0 | -28.00%18K | 75.00%7K | --18K | -80.77%25K | --4K | --130K |
Cash from discontinued financing activities | |||||||
Financing cash flow | 217.13%9.57M | 129.66%21.88M | -30.79%6.58M | --3.02M | 7,226.92%9.53M | --9.5M | --130K |
Net cash flow | |||||||
Beginning cash position | -75.07%1.38M | -70.58%5.55M | 4.32%1.98M | --5.55M | -51.95%18.85M | --1.9M | --39.23M |
Current changes in cash | 177.53%2.67M | 69.25%-4.12M | -114.20%-533K | ---3.44M | 34.53%-13.39M | --3.75M | ---20.45M |
Effect of exchange rate changes | 266.67%30K | -158.02%-47K | 38.68%-65K | ---18K | 17.39%81K | ---106K | --69K |
End cash Position | 95.83%4.08M | -75.07%1.38M | -75.07%1.38M | --2.09M | -70.58%5.55M | --5.55M | --18.85M |
Free cash flow | -6.79%-6.9M | -13.43%-25.99M | -23.67%-7.11M | ---6.46M | -11.35%-22.91M | ---5.75M | ---20.58M |
Currency Unit | USD | USD | USD | USD | USD | USD | USD |
Audit Opinions | -- | -- | -- | -- | Unqualified Opinion with Explanatory Notes | -- | Unqualified Opinion with Explanatory Notes |
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