(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 | |
---|---|---|---|---|---|---|---|---|---|---|
Assets | ||||||||||
Current assets | ||||||||||
Cash, cash equivalents and short term investments | 1,721.40%222.14M | 148.83%59.98M | 654.56%134.24M | 115.23%15.35M | 115.23%15.35M | -12.15%12.2M | 48.44%24.11M | -22.63%17.79M | -59.25%7.13M | -59.25%7.13M |
-Cash and cash equivalents | 1,721.40%222.14M | 148.83%59.98M | 654.56%134.24M | 115.23%15.35M | 115.23%15.35M | -12.10%12.2M | 48.50%24.11M | -22.61%17.79M | -59.24%7.13M | -59.24%7.13M |
Receivables | 13.88%71.75M | 9.11%65.92M | 16.48%71.79M | 316.88%105.41M | 316.88%105.41M | 136.27%63.01M | 26.21%60.41M | 31.85%61.63M | -1.23%25.29M | -1.23%25.29M |
-Accounts receivable | -0.10%39.92M | 1.38%38.48M | 3.19%42.32M | 289.38%76.09M | 289.38%76.09M | 267.71%39.96M | -20.70%37.96M | -12.26%41.01M | 62.46%19.54M | 62.46%19.54M |
-Other receivables | 38.12%31.83M | 22.19%27.44M | 42.92%29.47M | 410.41%29.33M | 410.41%29.33M | 142.05%23.04M | --22.46M | --20.62M | -0.66%5.75M | -0.66%5.75M |
Prepaid assets | 29.73%12.48M | 74.67%19.7M | -0.92%10.38M | 323.87%8.05M | 323.87%8.05M | -54.41%9.62M | --11.28M | --10.47M | -89.90%1.9M | -89.90%1.9M |
Total current assets | 220.06%306.37M | 36.27%145.6M | 155.23%229.43M | 440.41%185.44M | 440.41%185.44M | 41.86%95.72M | 66.67%106.85M | 28.90%89.89M | -49.12%34.32M | -49.12%34.32M |
Non current assets | ||||||||||
Net PPE | 83.00%58.73M | 79.94%57.99M | 63.51%51.51M | 359.30%50.85M | 359.30%50.85M | 1,833.45%32.1M | 3,691.75%32.23M | 2,944.11%31.5M | 981.87%11.07M | 981.87%11.07M |
-Gross PPE | 82.10%65.62M | 79.83%64.22M | 45.54%56.79M | 263.15%56.51M | 263.15%56.51M | 607.69%36.04M | 721.90%35.71M | 736.82%39.02M | 240.96%15.56M | 240.96%15.56M |
-Accumulated depreciation | -74.78%-6.89M | -78.83%-6.23M | 29.78%-5.28M | -26.14%-5.67M | -26.14%-5.67M | -14.83%-3.94M | 0.37%-3.48M | -107.16%-7.52M | -26.84%-4.49M | -26.84%-4.49M |
Goodwill and other intangible assets | -5.61%859.57M | -10.79%946.23M | -21.59%840.46M | 1,740.89%847.58M | 1,740.89%847.58M | 1,073.08%910.62M | 2,661.58%1.06B | 2,415.00%1.07B | 1.40%46.04M | 1.40%46.04M |
-Goodwill | -7.23%379.85M | -21.42%441M | -23.09%408.21M | 1,517.59%411.9M | 1,517.59%411.9M | 2,768.21%409.43M | 3,347.06%561.19M | 2,774.69%530.76M | 27.14%25.46M | 27.14%25.46M |
-Other intangible assets | -4.28%479.73M | 1.15%505.23M | -20.13%432.25M | 2,017.20%435.68M | 2,017.20%435.68M | 691.12%501.19M | 2,157.26%499.48M | 2,140.10%541.17M | -18.91%20.58M | -18.91%20.58M |
Investments and advances | -8.85%175.54M | -16.60%169.74M | -19.89%172.61M | 91,315.23%180.09M | 91,315.23%180.09M | 1,511.81%192.59M | 1,045.88%203.52M | 992.17%215.47M | -99.01%197K | -99.01%197K |
Financial assets | ---- | ---- | ---- | --0 | --0 | --0 | --0 | --187K | --241K | --241K |
Other non current assets | 113.43%5.88M | 27.72%3.17M | -17.23%5.94M | 2,007.26%2.61M | 2,007.26%2.61M | --2.76M | --2.48M | --7.17M | --124K | --124K |
Total non current assets | -3.37%1.1B | -9.37%1.18B | -19.28%1.07B | 1,774.55%1.08B | 1,774.55%1.08B | 1,147.39%1.14B | 2,178.01%1.3B | 1,992.39%1.33B | -13.14%57.67M | -13.14%57.67M |
Total assets | 13.97%1.41B | -5.91%1.32B | -8.21%1.3B | 1,276.87%1.27B | 1,276.87%1.27B | 677.38%1.23B | 1,060.57%1.41B | 963.79%1.42B | -31.27%91.99M | -31.27%91.99M |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Payables | -3.89%62.2M | -8.68%61M | -44.49%38.26M | 134.73%49.33M | 134.73%49.33M | 163.91%64.71M | 522.14%66.79M | 493.96%68.93M | 146.20%21.01M | 146.20%21.01M |
-accounts payable | -37.18%23.19M | -25.26%28.94M | -12.36%31.93M | 398.28%40.23M | 398.28%40.23M | 654.61%36.91M | 941.57%38.72M | 750.33%36.43M | 174.97%8.07M | 174.97%8.07M |
-Total tax payable | 92.38%34.71M | 83.79%27.74M | ---- | ---- | ---- | 286.96%18.04M | 377.81%15.09M | 336.70%13.3M | ---- | ---- |
-Other payable | -55.98%4.3M | -66.73%4.32M | -67.02%6.33M | -29.67%9.1M | -29.67%9.1M | -30.52%9.76M | 484.65%12.98M | 609.86%19.19M | 392.91%12.94M | 392.91%12.94M |
Current accrued expenses | --0 | --0 | ---- | --5.2M | --5.2M | ---- | ---- | ---- | --0 | --0 |
Current deferred liabilities | -71.21%93K | -51.75%221K | -97.16%48K | --66K | --66K | --323K | --458K | --1.69M | --0 | --0 |
Other current liabilities | ---- | ---- | --3.47M | --13.79M | --13.79M | --2.18M | --2.69M | ---- | ---- | ---- |
Current liabilities | -7.33%62.29M | -12.48%61.22M | -40.85%41.77M | 225.44%68.39M | 225.44%68.39M | -34.35%67.21M | 46.48%69.95M | 26.04%70.62M | -61.93%21.01M | -61.93%21.01M |
Non current liabilities | ||||||||||
Long term debt and capital lease obligation | -4.11%194.04M | 15.28%228.27M | 49.12%241.14M | 660.11%242.48M | 660.11%242.48M | --202.36M | --198.02M | --161.71M | --31.9M | --31.9M |
-Long term debt | -25.68%128.42M | -3.02%163.99M | 37.83%183.66M | 779.56%186.35M | 779.56%186.35M | --172.8M | --169.09M | --133.25M | --21.19M | --21.19M |
-Long term capital lease obligation | 121.97%65.62M | 122.23%64.28M | 101.99%57.48M | 423.88%56.12M | 423.88%56.12M | --29.56M | --28.93M | --28.46M | --10.71M | --10.71M |
Non current deferred liabilities | -83.80%4.18M | -22.67%23.12M | -80.80%7.79M | 25,807.32%21.24M | 25,807.32%21.24M | 1,025.22%25.81M | 1,135.63%29.9M | 1,482.56%40.55M | -96.90%82K | -96.90%82K |
Employee benefits | 102.60%40.63M | 97.36%30.09M | 205.58%36.02M | 266.96%57.47M | 266.96%57.47M | --20.06M | --15.25M | --11.79M | --15.66M | --15.66M |
Derivative product liabilities | --5.93M | --2.93M | -87.86%2.82M | ---- | ---- | ---- | ---- | --23.24M | ---- | ---- |
Preferred securities outside stock equity | --3.4M | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
Other non current liabilities | -22.66%56.13M | -22.99%53.58M | -68.06%47.13M | 1,202.21%71.36M | 1,202.21%71.36M | --72.57M | --69.59M | --147.56M | --5.48M | --5.48M |
Total non current liabilities | -5.14%304.31M | 8.07%337.99M | -6.50%359.82M | 672.10%410.15M | 672.10%410.15M | 13,884.90%320.81M | 12,826.39%312.74M | 14,920.74%384.83M | 1,909.99%53.12M | 1,909.99%53.12M |
Total liabilities | -5.52%366.6M | 4.32%399.21M | -11.82%401.6M | 545.49%478.54M | 545.49%478.54M | 270.71%388.02M | 662.78%382.69M | 677.35%455.45M | 28.16%74.14M | 28.16%74.14M |
Shareholders'equity | ||||||||||
Share capital | 4,977,883.33%298.68M | 2,557,383.33%153.45M | 1,918,233.33%115.1M | -99.96%7K | -99.96%7K | -27.71%6K | -33.45%6K | -38.55%6K | 185,409.13%18.61M | 185,409.13%18.61M |
-common stock | 50.00%9K | 16.67%7K | 16.67%7K | -99.96%7K | -99.96%7K | -27.71%6K | -33.45%6K | -38.55%6K | 185,409.13%18.61M | 185,409.13%18.61M |
-Preferred stock | --298.67M | --153.44M | --115.09M | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
Retained earnings | -68.22%-238.81M | -219.61%-170.17M | -69.81%-164.18M | ---190.55M | ---190.55M | -1,789.65%-141.97M | -1,397.05%-53.24M | -4,642.65%-96.69M | --0 | --0 |
Paid-in capital | 23.81%643.83M | 6.53%550M | 19.78%553.72M | --523.26M | --523.26M | 1,350.39%520M | 1,225.78%516.26M | 996.12%462.28M | --0 | --0 |
Gains losses not affecting retained earnings | -16.70%3.32M | -24.40%6.94M | 27.48%6.3M | 956.27%9.22M | 956.27%9.22M | -84.47%3.99M | -67.09%9.18M | -83.65%4.94M | -103.47%-1.08M | -103.47%-1.08M |
Total stockholders'equity | 85.07%707.02M | 14.40%540.22M | 37.89%510.94M | 1,850.22%341.93M | 1,850.22%341.93M | 607.03%382.03M | 565.53%472.21M | 397.19%370.54M | -76.92%17.53M | -76.92%17.53M |
Noncontrolling interests | -28.30%332.48M | -30.42%383.3M | -34.36%387.41M | 139,304.38%446.09M | 139,304.38%446.09M | 8,136,159.65%463.74M | 21,016,318.69%550.85M | 8,042,827.94%590.17M | 1,659.43%320K | 1,659.43%320K |
Total equity | 22.91%1.04B | -9.73%923.52M | -6.49%898.34M | 4,313.97%788.03M | 4,313.97%788.03M | 1,465.11%845.76M | 1,341.85%1.02B | 1,188.96%960.71M | -76.51%17.85M | -76.51%17.85M |
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 |
Audit Opinions | -- | -- | -- | -- | -- | -- | -- | -- | Unqualified Opinion | -- |
No Data