(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 | 34.85%85.9M | 3.43%60.3M | -16.25%60.8M | -16.25%60.8M | -85.55%64M | -81.07%63.7M | -90.41%58.3M | 20.20%72.6M | 20.20%72.6M | 515.14%442.9M |
-Cash and cash equivalents | 34.85%85.9M | 3.43%60.3M | -16.25%60.8M | -16.25%60.8M | -85.55%64M | -81.07%63.7M | -90.41%58.3M | 20.20%72.6M | 20.20%72.6M | 515.14%442.9M |
Receivables | 1.46%854.6M | 18.49%880M | 21.15%1.04B | 21.15%1.04B | 35.09%877.3M | 19.41%842.3M | -0.70%742.7M | 17.64%858.8M | 17.64%858.8M | 3.39%649.4M |
-Accounts receivable | -14.36%146.1M | 1.43%169.7M | 10.60%173.2M | 10.60%173.2M | 9.74%172.4M | 8.18%170.6M | -2.34%167.3M | -3.69%156.6M | -3.69%156.6M | 3.36%157.1M |
-Taxes receivable | -35.49%18.9M | --0 | -45.05%11.1M | -45.05%11.1M | 755.17%24.8M | 432.73%29.3M | --0 | --20.2M | --20.2M | --2.9M |
-Other receivables | 7.36%691.8M | 23.43%712.3M | 25.52%858.2M | 25.52%858.2M | 38.95%682.1M | 18.07%644.4M | -0.59%577.1M | 19.36%683.7M | 19.36%683.7M | 2.40%490.9M |
-Recievables adjustments allowances | -10.00%-2.2M | -17.65%-2M | -23.53%-2.1M | -23.53%-2.1M | -33.33%-2M | 44.44%-2M | 56.41%-1.7M | 68.52%-1.7M | 68.52%-1.7M | 54.55%-1.5M |
Inventory | 38.15%3.55B | 36.72%3B | 48.09%3.03B | 48.09%3.03B | 42.90%2.65B | 35.02%2.57B | 29.32%2.2B | 10.84%2.05B | 10.84%2.05B | 23.70%1.85B |
Other current assets | 121.33%357M | 91.85%298.9M | 8.84%172.3M | 8.84%172.3M | 41.70%186.2M | -12.38%161.3M | -20.23%155.8M | -8.71%158.3M | -8.71%158.3M | -26.06%131.4M |
Total current assets | 33.29%4.85B | 34.54%4.24B | 37.25%4.31B | 37.25%4.31B | 22.70%3.77B | 16.24%3.64B | -2.97%3.15B | 11.61%3.14B | 11.61%3.14B | 29.51%3.08B |
Non current assets | ||||||||||
Net PPE | 2.51%4.19B | 5.16%4.19B | 6.44%4.18B | 6.44%4.18B | 7.57%4.09B | 8.78%4.08B | 7.77%3.98B | 6.13%3.93B | 6.13%3.93B | 8.61%3.81B |
-Gross PPE | 4.97%6.39B | 5.10%6.29B | 7.68%6.32B | 7.68%6.32B | 8.55%6.19B | 7.60%6.08B | 8.87%5.98B | 6.95%5.87B | 6.95%5.87B | 9.64%5.71B |
-Accumulated depreciation | -10.00%-2.2B | -5.00%-2.1B | -10.21%-2.13B | -10.21%-2.13B | -10.53%-2.1B | -5.26%-2B | -11.11%-2B | -8.64%-1.94B | -8.64%-1.94B | -11.76%-1.9B |
Goodwill and other intangible assets | -0.97%2.37B | 2.14%2.38B | 10.96%2.39B | 10.96%2.39B | 20.84%2.39B | 21.29%2.4B | 17.95%2.33B | 9.01%2.16B | 9.01%2.16B | 9.09%1.98B |
-Goodwill | -0.77%1.45B | 0.31%1.45B | 11.04%1.47B | 11.04%1.47B | 18.03%1.46B | 18.44%1.46B | 17.64%1.45B | 6.86%1.32B | 6.86%1.32B | 0.76%1.23B |
-Other intangible assets | -1.27%924.3M | 5.15%925.6M | 10.85%927.8M | 10.85%927.8M | 25.51%931.8M | 26.04%936.2M | 18.46%880.3M | 12.58%837M | 12.58%837M | 26.45%742.4M |
Long-term notes receivables | 105.33%709.4M | 58.43%517.9M | 32.76%402.4M | 32.76%402.4M | --320M | --345.5M | --326.9M | --303.1M | --303.1M | ---- |
Other non current assets | 15.35%708.5M | 25.69%710.9M | 30.63%693.4M | 30.63%693.4M | 19.29%665.9M | 37.50%614.2M | 29.99%565.6M | 18.06%530.8M | 18.06%530.8M | 23.85%558.2M |
Total non current assets | 7.22%7.98B | 8.21%7.8B | 10.86%7.67B | 10.86%7.67B | 17.78%7.47B | 20.46%7.44B | 18.00%7.21B | 12.88%6.92B | 12.88%6.92B | 9.95%6.34B |
Total assets | 15.79%12.83B | 16.22%12.04B | 19.09%11.98B | 19.09%11.98B | 19.39%11.24B | 19.04%11.08B | 10.72%10.36B | 12.48%10.06B | 12.48%10.06B | 15.66%9.42B |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Payables | -13.28%338.9M | -0.12%346.7M | 5.22%344.7M | 5.22%344.7M | -0.61%341.6M | 5.22%390.8M | -10.03%347.1M | -17.25%327.6M | -17.25%327.6M | -2.96%343.7M |
-accounts payable | -13.28%338.9M | -0.12%346.7M | 5.22%344.7M | 5.22%344.7M | -0.61%341.6M | 5.22%390.8M | -10.03%347.1M | -17.25%327.6M | -17.25%327.6M | -2.96%343.7M |
Current accrued expenses | ---- | ---- | 0.42%239M | 0.42%239M | -4.33%282.7M | -7.28%257.3M | -10.66%228M | -14.97%238M | -14.97%238M | 12.06%295.5M |
Current debt and capital lease obligation | 58.47%4.86B | 61.48%4.03B | 96.72%4.29B | 96.72%4.29B | 94.60%3.18B | 100.75%3.07B | 77.29%2.5B | 18.13%2.18B | 18.13%2.18B | 30.34%1.64B |
-Current debt | 58.47%4.86B | 61.48%4.03B | 96.72%4.29B | 96.72%4.29B | 94.60%3.18B | 100.75%3.07B | 77.29%2.5B | 20.60%2.18B | 20.60%2.18B | 30.34%1.64B |
Other current liabilities | 47.08%1.01B | 41.93%1.01B | 7.25%705.2M | 7.25%705.2M | 9.57%722.7M | 14.49%689.1M | -6.06%710.3M | 22.58%657.5M | 22.58%657.5M | 19.13%659.6M |
Current liabilities | 41.07%6.22B | 42.41%5.38B | 63.92%5.58B | 63.92%5.58B | 54.38%4.53B | 58.53%4.41B | 34.81%3.78B | 11.30%3.41B | 11.30%3.41B | 20.94%2.94B |
Non current liabilities | ||||||||||
Long term debt and capital lease obligation | -4.93%3.97B | -7.51%3.84B | -10.87%3.74B | -10.87%3.74B | 8.99%4.16B | 9.91%4.17B | 9.45%4.16B | 35.10%4.2B | 35.10%4.2B | 29.98%3.82B |
-Long term debt | -6.24%3.6B | -10.26%3.46B | -13.39%3.38B | -13.39%3.38B | 8.09%3.82B | 8.47%3.83B | 9.04%3.86B | 37.02%3.9B | 37.02%3.9B | 32.16%3.53B |
-Long term capital lease obligation | 9.86%373.3M | 27.79%383.5M | 22.33%363.2M | 22.33%363.2M | 20.23%339.3M | 29.30%339.8M | 14.98%300.1M | 14.15%296.9M | 14.15%296.9M | 7.75%282.2M |
Non current deferred liabilities | 55.42%90.3M | 48.54%86.3M | 11.11%85M | 11.11%85M | -27.75%60.4M | -28.80%58.1M | -28.62%58.1M | -2.17%76.5M | -2.17%76.5M | 3.47%83.6M |
Other non current liabilities | 6.05%369.7M | 6.25%367M | 8.23%360.4M | 8.23%360.4M | 7.02%349M | 7.79%348.6M | 5.05%345.4M | 3.32%333M | 3.32%333M | -4.43%326.1M |
Total non current liabilities | -3.33%4.43B | -5.76%4.3B | -9.12%4.19B | -9.12%4.19B | 8.11%4.57B | 9.00%4.58B | 8.37%4.56B | 31.35%4.61B | 31.35%4.61B | 25.85%4.22B |
Total liabilities | 18.44%10.65B | 16.08%9.68B | 21.93%9.77B | 21.93%9.77B | 27.08%9.1B | 28.72%8.99B | 18.94%8.34B | 22.01%8.01B | 22.01%8.01B | 23.79%7.16B |
Shareholders'equity | ||||||||||
Share capital | 0.00%600K | 0.00%600K | 0.00%600K | 0.00%600K | -25.00%600K | -25.00%600K | -25.00%600K | -25.00%600K | -25.00%600K | 0.00%800K |
-common stock | 0.00%600K | 0.00%600K | 0.00%600K | 0.00%600K | -25.00%600K | -25.00%600K | -25.00%600K | -25.00%600K | -25.00%600K | 0.00%800K |
Retained earnings | 18.57%4.96B | 23.50%4.83B | 26.73%4.64B | 26.73%4.64B | -21.96%4.43B | -21.37%4.18B | -20.90%3.91B | -21.04%3.66B | -21.04%3.66B | 33.22%5.67B |
Paid-in capital | -20.00%8.8M | -33.33%2M | 622.58%22.4M | 622.58%22.4M | 100.00%18.6M | 111.54%11M | 25.00%3M | -3.13%3.1M | -3.13%3.1M | 481.25%9.3M |
Less: Treasury stock | 32.49%2.79B | 30.55%2.47B | 51.56%2.45B | 51.56%2.45B | -32.78%2.3B | -29.93%2.1B | -27.20%1.89B | -28.55%1.62B | -28.55%1.62B | 80.03%3.43B |
Total stockholders'equity | 4.37%2.18B | 16.80%2.36B | 7.99%2.21B | 7.99%2.21B | -5.02%2.14B | -10.03%2.09B | -13.87%2.02B | -13.85%2.05B | -13.85%2.05B | -4.30%2.26B |
Total equity | 4.37%2.18B | 16.80%2.36B | 7.99%2.21B | 7.99%2.21B | -5.02%2.14B | -10.03%2.09B | -13.87%2.02B | -13.85%2.05B | -13.85%2.05B | -4.30%2.26B |
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 | -- | -- | -- | -- | Unqualified Opinion | -- | -- |
No Data