(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 | -24.99%177.72M | -1.46%174.19M | 61.38%233.23M | 53.67%223.1M | 53.67%223.1M | 62.57%236.93M | 22.22%176.76M | -2.90%144.52M | 17.29%145.18M | 17.29%145.18M |
-Cash and cash equivalents | -24.99%177.72M | -1.46%174.19M | 61.38%233.23M | 53.67%223.1M | 53.67%223.1M | 62.57%236.93M | 22.22%176.76M | -2.90%144.52M | 17.29%145.18M | 17.29%145.18M |
Receivables | -39.04%1.2M | -11.57%1.54M | -5.35%1.81M | 199.78%18.13M | 199.78%18.13M | 10.35%1.96M | 16.40%1.75M | 20.24%1.91M | 2,551.75%6.05M | 2,551.75%6.05M |
-Accounts receivable | -39.04%1.2M | -11.57%1.54M | -5.35%1.81M | 38.06%2.39M | 38.06%2.39M | 10.35%1.96M | 16.40%1.75M | 20.24%1.91M | 660.53%1.73M | 660.53%1.73M |
-Other receivables | ---- | ---- | ---- | 264.82%15.73M | 264.82%15.73M | ---- | ---- | ---- | --4.31M | --4.31M |
Inventory | 9.53%294.6M | -7.22%273.56M | -8.12%268.41M | -11.22%254.29M | -11.22%254.29M | -8.07%268.96M | 8.21%294.85M | 18.49%292.12M | 37.47%286.42M | 37.47%286.42M |
Prepaid assets | -48.45%28.5M | ---- | ---- | 42.83%18.71M | 42.83%18.71M | --55.28M | ---- | ---- | --13.1M | --13.1M |
Restricted cash | -7.19%3.22M | -30.21%3.21M | -54.79%3.21M | -56.34%3.21M | -56.34%3.21M | -45.39%3.47M | -34.09%4.6M | -0.48%7.1M | 3.02%7.35M | 3.02%7.35M |
Other current assets | -48.72%4.03M | -11.78%38.01M | -24.93%33.12M | -13.14%10.82M | -13.14%10.82M | -78.07%7.86M | 46.00%43.08M | 42.27%44.12M | -56.31%12.46M | -56.31%12.46M |
Total current assets | -11.35%509.26M | -5.86%490.51M | 10.21%539.78M | 12.26%528.25M | 12.26%528.25M | 19.11%574.46M | 14.49%521.05M | 12.56%489.77M | 27.87%470.55M | 27.87%470.55M |
Non current assets | ||||||||||
Net PPE | 31.45%671.03M | 32.06%658.58M | 33.50%604.28M | 26.29%551.23M | 26.29%551.23M | 29.97%510.49M | 28.57%498.71M | 32.13%452.64M | 142.99%436.48M | 142.99%436.48M |
-Gross PPE | 31.45%671.03M | 32.06%658.58M | 33.50%604.28M | 22.86%707.85M | 22.86%707.85M | 29.97%510.49M | 28.57%498.71M | 32.13%452.64M | 86.41%576.14M | 86.41%576.14M |
-Accumulated depreciation | ---- | ---- | ---- | -12.15%-156.62M | -12.15%-156.62M | ---- | ---- | ---- | -7.90%-139.65M | -7.90%-139.65M |
Goodwill and other intangible assets | 0.00%10.96M | 0.00%10.96M | 0.00%10.96M | 0.00%10.96M | 0.00%10.96M | 0.00%10.96M | 0.00%10.96M | 0.00%10.96M | 0.00%10.96M | 0.00%10.96M |
-Goodwill | 0.00%10.96M | 0.00%10.96M | 0.00%10.96M | 0.00%10.96M | 0.00%10.96M | 0.00%10.96M | 0.00%10.96M | 0.00%10.96M | 0.00%10.96M | 0.00%10.96M |
Non current deferred assets | -7.40%15.36M | 23.90%14.26M | 54.82%18.95M | 13.57%19.13M | 13.57%19.13M | -20.83%16.59M | -49.60%11.51M | -51.55%12.24M | -39.17%16.84M | -39.17%16.84M |
Other non current assets | -12.40%2.7M | -1.99%3M | 768.95%2.41M | 100.93%4.53M | 100.93%4.53M | 1,211.06%3.08M | 1,128.11%3.06M | 4.92%277K | 710.07%2.25M | 710.07%2.25M |
Total non current assets | 29.37%700.05M | 31.01%686.79M | 33.71%636.6M | 25.57%585.84M | 25.57%585.84M | 27.35%541.12M | 24.25%524.23M | 25.60%476.12M | 113.46%466.54M | 113.46%466.54M |
Total assets | 8.40%1.21B | 12.63%1.18B | 21.79%1.18B | 18.89%1.11B | 18.89%1.11B | 22.97%1.12B | 19.18%1.05B | 18.63%965.89M | 59.76%937.08M | 59.76%937.08M |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Payables | 11.62%79.56M | 17.77%75.04M | 113.56%146.06M | -2.08%73.34M | -2.08%73.34M | 0.16%71.27M | -10.16%63.72M | 2.48%68.39M | 27.52%74.89M | 27.52%74.89M |
-accounts payable | 26.52%73.56M | 23.36%67.95M | 17.08%62.14M | 1.70%63.7M | 1.70%63.7M | -0.54%58.14M | -11.63%55.08M | -2.17%53.07M | 21.79%62.64M | 21.79%62.64M |
-Total tax payable | -54.33%6M | -17.88%7.09M | -13.21%13.3M | -21.36%9.64M | -21.36%9.64M | 3.37%13.13M | 0.50%8.64M | 22.70%15.32M | 67.84%12.26M | 67.84%12.26M |
-Dividends payable | ---- | ---- | --70.63M | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
Current accrued expenses | 0.39%59.32M | 25.03%56.38M | 36.68%54.35M | 5.38%49.18M | 5.38%49.18M | 15.28%59.09M | 10.98%45.09M | 17.76%39.76M | -39.84%46.67M | -39.84%46.67M |
Current provisions | ---- | ---- | ---- | -4.14%7.99M | -4.14%7.99M | ---- | ---- | ---- | --8.33M | --8.33M |
Current debt and capital lease obligation | 21.34%52.66M | 18.91%50.44M | 7.09%43.61M | 16.79%46.46M | 16.79%46.46M | 9.12%43.4M | 11.22%42.42M | 6.79%40.73M | --39.78M | --39.78M |
-Current capital lease obligation | 21.34%52.66M | 18.91%50.44M | 7.09%43.61M | 16.79%46.46M | 16.79%46.46M | 9.12%43.4M | 11.22%42.42M | 6.79%40.73M | --39.78M | --39.78M |
Current deferred liabilities | 5.52%224.14M | 8.72%210.27M | 2.52%202.92M | -14.38%174.33M | -14.38%174.33M | -18.87%212.41M | -30.17%193.4M | -35.37%197.93M | -23.14%203.62M | -23.14%203.62M |
Current liabilities | 7.64%415.68M | 13.78%392.12M | 28.87%446.95M | -5.89%351.29M | -5.89%351.29M | -8.92%386.16M | -19.23%344.63M | -22.04%346.82M | -6.96%373.29M | -6.96%373.29M |
Non current liabilities | ||||||||||
Long term debt and capital lease obligation | 13.06%468.86M | 15.91%471.5M | 19.00%437.34M | 19.85%416.47M | 19.85%416.47M | 31.38%414.72M | 27.10%406.76M | 32.42%367.5M | 587.76%347.49M | 587.76%347.49M |
-Long term capital lease obligation | 13.06%468.86M | 15.91%471.5M | 19.00%437.34M | 19.85%416.47M | 19.85%416.47M | 31.38%414.72M | 27.10%406.76M | 32.42%367.5M | 587.76%347.49M | 587.76%347.49M |
Non current deferred liabilities | --0 | --0 | -14.64%1.87M | -14.08%1.95M | -14.08%1.95M | -13.64%2.03M | -13.19%2.11M | -12.77%2.19M | -96.40%2.27M | -96.40%2.27M |
Other non current liabilities | -1.08%4.13M | 3.70%4.37M | 6.77%4.57M | -4.45%4.14M | -4.45%4.14M | -5.44%4.17M | 5.27%4.22M | 57.85%4.28M | 117.67%4.34M | 117.67%4.34M |
Total non current liabilities | 12.37%472.99M | 15.20%475.87M | 18.67%443.79M | 19.33%422.56M | 19.33%422.56M | 30.55%420.92M | 26.53%413.09M | 32.26%373.98M | 206.44%354.1M | 206.44%354.1M |
Total liabilities | 10.11%888.67M | 14.55%867.99M | 23.58%890.73M | 6.39%773.86M | 6.39%773.86M | 8.13%807.09M | 0.61%757.72M | -0.94%720.79M | 40.75%727.39M | 40.75%727.39M |
Shareholders'equity | ||||||||||
Share capital | 0.72%140K | 0.72%140K | 0.72%140K | 0.72%139K | 0.72%139K | 0.72%139K | 0.72%139K | 0.72%139K | 0.73%138K | 0.73%138K |
-common stock | 0.72%140K | 0.72%140K | 0.72%140K | 0.72%139K | 0.72%139K | 0.72%139K | 0.72%139K | 0.72%139K | 0.73%138K | 0.73%138K |
Retained earnings | 6.60%121.6M | 18.24%111.54M | 64.73%89.21M | 624.54%145.29M | 624.54%145.29M | 523.32%114.08M | 247.67%94.34M | 153.87%54.15M | 117.20%20.05M | 117.20%20.05M |
Paid-in capital | 2.38%198.91M | 2.35%197.63M | 2.88%196.3M | 2.80%194.81M | 2.80%194.81M | 3.55%194.27M | 2.90%193.09M | 2.07%190.8M | 1.77%189.5M | 1.77%189.5M |
Less: Treasury stock | ---- | ---- | --0 | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
Total stockholders'equity | 3.94%320.65M | 7.56%309.31M | 16.55%285.65M | 62.25%340.24M | 62.25%340.24M | 91.85%308.49M | 132.10%287.56M | 183.20%245.09M | 200.57%209.7M | 200.57%209.7M |
Total equity | 3.94%320.65M | 7.56%309.31M | 16.55%285.65M | 62.25%340.24M | 62.25%340.24M | 91.85%308.49M | 132.10%287.56M | 183.20%245.09M | 200.57%209.7M | 200.57%209.7M |
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 with Explanatory Notes | -- | -- | -- | -- | Unqualified Opinion with Explanatory Notes | -- |
No Data
No Data