(Q3)Sep 30, 2024 | (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 | |
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Operating Cash Flow (Indirect Method) | ||||||||||
Cash flow from continuing operating activities | -51.36%35.38M | -70.88%6.88M | -74.93%7.99M | 15.89%212.93M | 19.70%84.69M | 11.15%72.74M | -37.22%23.62M | 221.60%31.88M | 30.39%183.73M | 105.05%70.75M |
Net income from continuing operations | -142.04%-14.15M | -43.17%15.6M | -81.77%5.79M | -35.24%130.75M | -16.44%37.89M | -55.06%33.65M | -38.73%27.46M | -13.86%31.75M | 49.87%201.89M | 14.14%45.35M |
Operating gains losses | 423.27%1.06M | -111.69%-9K | -106.09%-7K | 111.08%439K | -53.13%45K | 104.56%202K | -21.43%77K | -58.33%115K | -364.84%-3.96M | -83.25%96K |
Depreciation and amortization | 6.60%17.91M | 3.18%16.97M | 2.60%16.95M | 10.34%66.53M | 5.71%16.77M | 7.98%16.8M | 9.70%16.44M | 18.97%16.52M | 14.00%60.3M | 16.06%15.86M |
Deferred tax | 265.24%347K | 80.47%-33K | 98.54%-9K | -491.70%-33.94M | -916.79%-32.94M | 59.54%-210K | 81.57%-169K | 41.79%-617K | -532.58%-5.74M | -218.68%-3.24M |
Other non cash items | 1,033.87%1.41M | 546.03%814K | 537.50%816K | ---- | ---- | --124K | --126K | --128K | ---- | ---- |
Change In working capital | 15.83%16.33M | -33.55%-37.72M | -14.41%-26.11M | 120.48%18.14M | 602.63%55.11M | 154.09%14.1M | -6.94%-28.25M | 48.11%-22.82M | -37.14%-88.61M | 131.23%7.84M |
-Change in receivables | 147.80%5.21M | -146.39%-15.05M | 146.09%33.44M | 139.04%23.28M | -232.27%-11.85M | 73.26%-10.91M | 313.36%32.45M | 208.04%13.59M | -1,231.28%-59.63M | 192.51%8.96M |
-Change in inventory | -69.80%8.07M | -380.48%-22.47M | -4.23%-26.79M | 221.88%39.3M | -20.67%30.28M | 245.99%26.71M | 128.12%8.01M | -8.82%-25.7M | 72.14%-32.24M | 1,250.90%38.16M |
-Change in payables and accrued expense | -163.95%-23.11M | 150.65%17.33M | -117.90%-3M | 9.14%-26.08M | 100.24%123K | -145.74%-8.76M | -481.90%-34.22M | 359.24%16.77M | -142.77%-28.7M | -461.54%-50.33M |
-Change in other current assets | -451.19%-4.43M | -79.79%2.39M | 129.17%2.62M | 125.49%5.02M | 111.44%894K | 119.55%1.26M | 857.36%11.83M | -133.62%-8.97M | -576.05%-19.67M | -60.54%-7.82M |
-Change in other current liabilities | 428.71%30.59M | 57.00%-19.92M | -74.94%-32.38M | -145.26%-23.37M | 89.08%35.68M | -71.58%5.79M | -568.14%-46.32M | -833.73%-18.51M | 381.53%51.64M | 169.10%18.87M |
Cash from discontinued investing activities | -505.99%-1.32M | 83.74%-166K | 65.68%-710K | -2,669.44%-3.99M | -980.95%-681K | -59.56%-217K | -794.56%-1.02M | -2,148.91%-2.07M | 78.48%-144K | 56.85%-63K |
Operating cash flow | -53.03%34.06M | -70.30%6.71M | -75.57%7.28M | 13.81%208.94M | 18.84%84M | 11.05%72.52M | -40.16%22.6M | 203.54%29.81M | 30.90%183.59M | 105.73%70.69M |
Investing cash flow | ||||||||||
Cash flow from continuing investing activities | 4.02%-12.94M | -40.44%-28.85M | -15.49%-18.72M | 68.91%-64.75M | 36.82%-14.52M | 3.94%-13.48M | 86.96%-20.54M | -18.54%-16.21M | -340.30%-208.27M | -180.97%-22.99M |
Net PPE purchase and sale | 3.95%-12.64M | 15.14%-14.78M | -2.58%-16.63M | -3.60%-61.01M | 26.60%-14.22M | 6.21%-13.16M | -40.42%-17.41M | -23.98%-16.21M | -104.34%-58.89M | -153.87%-19.38M |
Net business purchase and sale | --0 | ---- | ---- | --0 | --0 | --0 | ---- | ---- | -593.69%-149.39M | -29.04%-3.61M |
Net investment purchase and sale | ---- | ---- | ---2.09M | ---3.75M | ---299K | ---- | ---- | --0 | --0 | --0 |
Cash from discontinued investing activities | ||||||||||
Investing cash flow | 4.02%-12.94M | -40.44%-28.85M | -15.49%-18.72M | 68.91%-64.75M | 36.82%-14.52M | 3.94%-13.48M | 86.96%-20.54M | -18.54%-16.21M | -340.30%-208.27M | -180.97%-22.99M |
Financing cash flow | ||||||||||
Cash flow from continuing financing activities | -174.24%-351.28M | -10.40%-9.02M | -30.84%-14.14M | 820.41%445.68M | -5.29%-8.52M | 4,428.00%473.18M | 67.35%-8.17M | 39.34%-10.81M | -143.83%-61.87M | 72.03%-8.09M |
Net issuance payments of debt | -160.53%-345M | 0.00%-5M | 0.00%-5M | 2,875.00%555M | 0.00%-5M | 11,500.00%570M | 0.00%-5M | 0.00%-5M | -128.07%-20M | 0.00%-5M |
Net common stock issuance | ---- | ---- | ---- | -50.18%-40M | --0 | ---- | ---- | ---- | 65.91%-26.64M | 96.84%-680K |
Cash dividends paid | -1.07%-3.87M | -1.85%-3.85M | 0.10%-3.81M | -0.12%-15.22M | -0.08%-3.8M | -0.47%-3.83M | 0.74%-3.78M | -0.66%-3.81M | 1.18%-15.2M | 0.08%-3.8M |
Proceeds from stock option exercised by employees | -100.71%-529K | -128.50%-173K | -167.55%-5.33M | 287,738.46%74.79M | -15.16%1.18M | 29,194.92%75M | -20.45%607K | 18.07%-1.99M | 98.52%-26K | 0.80%1.39M |
Net other financing activities | ---- | ---- | ---- | ---128.88M | ---895K | ---- | ---- | ---- | ---- | ---- |
Cash from discontinued financing activities | ||||||||||
Financing cash flow | -174.24%-351.28M | -10.40%-9.02M | -30.84%-14.14M | 820.41%445.68M | -5.29%-8.52M | 4,428.00%473.18M | 67.35%-8.17M | 39.34%-10.81M | -143.83%-61.87M | 72.03%-8.09M |
Net cash flow | ||||||||||
Beginning cash position | 116.62%986.15M | 120.46%1.02B | 127.66%1.04B | -15.72%458.82M | 141.03%985.93M | 22.15%455.25M | -11.43%461.67M | -15.72%458.82M | 13.32%544.37M | --409.05M |
Current changes in cash | -162.03%-330.15M | -409.99%-31.16M | -1,014.70%-25.58M | 781.54%589.87M | 53.91%60.96M | 1,219.31%532.22M | 95.78%-6.11M | 112.90%2.8M | -228.09%-86.55M | --39.61M |
Effect of exchange rate changes | 183.59%1.29M | -56.91%-477K | -2,454.90%-1.2M | -514.86%-4.13M | -123.01%-2.34M | 61.19%-1.54M | 91.83%-304K | 103.47%51K | 127.92%996K | 1,366.46%10.16M |
End cash Position | -33.33%657.29M | 116.62%986.15M | 120.46%1.02B | 127.66%1.04B | 127.66%1.04B | 141.03%985.93M | 22.15%455.25M | -11.43%461.67M | -15.72%458.82M | --458.82M |
Free cash flow | -63.91%21.42M | -255.36%-8.06M | -168.72%-9.35M | 18.63%147.93M | 36.00%69.78M | 15.77%59.36M | -79.55%5.19M | 517.98%13.6M | 11.91%124.7M | 91.99%51.31M |
Currency Unit | USD | USD | USD | USD | USD | USD | USD | USD | USD | USD |
Accounting Standards | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP |
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