(FY)Dec 30, 2022 | (Q4)Dec 30, 2022 | (FY)Dec 30, 2021 | (Q4)Dec 30, 2021 | (FY)Dec 30, 2020 | (Q4)Dec 30, 2020 | (FY)Dec 30, 2019 | (Q4)Dec 30, 2019 | (FY)Dec 30, 2018 | (Q4)Dec 30, 2018 | |
---|---|---|---|---|---|---|---|---|---|---|
Assets | ||||||||||
Current assets | ||||||||||
Cash, cash equivalents and short term investments | -55.03%1.47M | -55.03%1.47M | 74.33%3.26M | 74.33%3.26M | -41.67%1.87M | -41.67%1.87M | 52.07%3.21M | 52.07%3.21M | -27.17%2.11M | -27.17%2.11M |
-Cash and cash equivalents | -55.03%1.47M | -55.03%1.47M | 74.33%3.26M | 74.33%3.26M | -41.67%1.87M | -41.67%1.87M | 52.07%3.21M | 52.07%3.21M | -27.17%2.11M | -27.17%2.11M |
Receivables | -33.81%745.99K | -33.81%745.99K | 135.22%1.13M | 135.22%1.13M | -36.58%479.12K | -36.58%479.12K | 11.58%755.43K | 11.58%755.43K | -71.73%677.03K | -71.73%677.03K |
-Accounts receivable | ---- | ---- | 70.93%63.57K | 70.93%63.57K | -75.53%37.19K | -75.53%37.19K | -62.09%151.99K | -62.09%151.99K | 88.85%400.97K | 88.85%400.97K |
-Other receivables | -31.39%745.99K | -31.39%745.99K | 146.04%1.09M | 146.04%1.09M | -38.00%441.93K | -38.00%441.93K | 85.27%712.84K | 85.27%712.84K | -82.37%384.77K | -82.37%384.77K |
-Recievables adjustments allowances | ---- | ---- | ---23.89K | ---23.89K | ---- | ---- | -0.64%-109.4K | -0.64%-109.4K | ---108.7K | ---108.7K |
Inventory | 104.33%401.98K | 104.33%401.98K | 96.72%196.73K | 96.72%196.73K | -32.78%100.01K | -32.78%100.01K | 48.99%148.76K | 48.99%148.76K | -65.76%99.85K | -65.76%99.85K |
Prepaid assets | 7.19%235.01K | 7.19%235.01K | --219.24K | --219.24K | ---- | ---- | ---- | ---- | ---- | ---- |
Other current assets | ---- | ---- | ---- | ---- | 46.07%238.7K | 46.07%238.7K | -54.51%163.41K | -54.51%163.41K | 65.15%359.21K | 65.15%359.21K |
Total current assets | -40.70%2.85M | -40.70%2.85M | 78.69%4.81M | 78.69%4.81M | -37.11%2.69M | -37.11%2.69M | 31.75%4.28M | 31.75%4.28M | -44.04%3.25M | -44.04%3.25M |
Non current assets | ||||||||||
Net PPE | 39.23%468.11K | 39.23%468.11K | 44.31%336.22K | 44.31%336.22K | 29.49%232.99K | 29.49%232.99K | 12.75%179.93K | 12.75%179.93K | -36.43%159.58K | -36.43%159.58K |
-Gross PPE | 30.84%1.22M | 30.84%1.22M | 278.10%928.95K | 278.10%928.95K | -90.50%245.69K | -90.50%245.69K | 6.48%2.59M | 6.48%2.59M | 0.02%2.43M | 0.02%2.43M |
-Accumulated depreciation | -26.08%-747.34K | -26.08%-747.34K | -4,567.92%-592.73K | -4,567.92%-592.73K | 99.47%-12.7K | 99.47%-12.7K | -6.04%-2.41M | -6.04%-2.41M | -4.22%-2.27M | -4.22%-2.27M |
Goodwill and other intangible assets | -74.26%26.25K | -74.26%26.25K | -76.33%102K | -76.33%102K | -49.71%431K | -49.71%431K | -38.57%857K | -38.57%857K | -36.18%1.4M | -36.18%1.4M |
-Other intangible assets | -74.26%26.25K | -74.26%26.25K | -76.33%102K | -76.33%102K | -49.71%431K | -49.71%431K | -38.57%857K | -38.57%857K | -36.18%1.4M | -36.18%1.4M |
Total non current assets | 12.81%494.36K | 12.81%494.36K | -34.00%438.22K | -34.00%438.22K | -35.97%663.99K | -35.97%663.99K | -33.30%1.04M | -33.30%1.04M | -36.21%1.55M | -36.21%1.55M |
Total assets | -36.23%3.35M | -36.23%3.35M | 56.38%5.25M | 56.38%5.25M | -36.89%3.35M | -36.89%3.35M | 10.69%5.32M | 10.69%5.32M | -41.72%4.8M | -41.72%4.8M |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Current debt and capital lease obligation | -11.58%70.92K | -11.58%70.92K | 9.83%80.21K | 9.83%80.21K | -18.39%73.03K | -18.39%73.03K | --89.49K | --89.49K | ---- | ---- |
-Current capital lease obligation | -11.58%70.92K | -11.58%70.92K | 9.83%80.21K | 9.83%80.21K | -18.39%73.03K | -18.39%73.03K | --89.49K | --89.49K | ---- | ---- |
Payables | 0.47%276.42K | 0.47%276.42K | 14.07%275.13K | 14.07%275.13K | 28.25%241.19K | 28.25%241.19K | -67.12%188.06K | -67.12%188.06K | -53.83%571.96K | -53.83%571.96K |
-accounts payable | 154.30%191.19K | 154.30%191.19K | -31.84%75.18K | -31.84%75.18K | 14.22%110.31K | 14.22%110.31K | -27.04%96.58K | -27.04%96.58K | -87.74%132.36K | -87.74%132.36K |
-Other payable | -57.38%85.22K | -57.38%85.22K | 52.77%199.95K | 52.77%199.95K | 43.06%130.88K | 43.06%130.88K | -79.19%91.49K | -79.19%91.49K | 176.56%439.6K | 176.56%439.6K |
Pension and other retirement benefit plans | 17.00%398.17K | 17.00%398.17K | 17.61%340.31K | 17.61%340.31K | 8.26%289.36K | 8.26%289.36K | -11.07%267.28K | -11.07%267.28K | 53.64%300.54K | 53.64%300.54K |
Current liabilities | 7.17%745.5K | 7.17%745.5K | 15.25%695.66K | 15.25%695.66K | 10.78%603.58K | 10.78%603.58K | -37.56%544.83K | -37.56%544.83K | -49.08%872.5K | -49.08%872.5K |
Non current liabilities | ||||||||||
Long term debt and capital lease obligation | 1,178.20%175.15K | 1,178.20%175.15K | -85.30%13.7K | -85.30%13.7K | 1,111.02%93.2K | 1,111.02%93.2K | --7.7K | --7.7K | ---- | ---- |
-Long term capital lease obligation | 1,178.20%175.15K | 1,178.20%175.15K | -85.30%13.7K | -85.30%13.7K | 1,111.02%93.2K | 1,111.02%93.2K | --7.7K | --7.7K | ---- | ---- |
Employee benefits | ---- | ---- | ---- | ---- | -5.89%3.39K | -5.89%3.39K | -87.81%3.6K | -87.81%3.6K | -36.54%29.54K | -36.54%29.54K |
Total non current liabilities | 1,178.20%175.15K | 1,178.20%175.15K | -85.81%13.7K | -85.81%13.7K | 755.06%96.59K | 755.06%96.59K | -61.76%11.3K | -61.76%11.3K | -75.91%29.54K | -75.91%29.54K |
Total liabilities | 29.79%920.66K | 29.79%920.66K | 1.31%709.36K | 1.31%709.36K | 25.90%700.17K | 25.90%700.17K | -38.35%556.13K | -38.35%556.13K | -50.87%902.04K | -50.87%902.04K |
Shareholders'equity | ||||||||||
Share capital | -0.03%237.53M | -0.03%237.53M | 2.07%237.6M | 2.07%237.6M | 0.06%232.78M | 0.06%232.78M | 0.00%232.63M | 0.00%232.63M | 0.59%232.63M | 0.59%232.63M |
-common stock | -0.03%237.53M | -0.03%237.53M | 2.07%237.6M | 2.07%237.6M | 0.06%232.78M | 0.06%232.78M | 0.00%232.63M | 0.00%232.63M | 0.59%232.63M | 0.59%232.63M |
Retained earnings | -0.78%-264.1M | -0.78%-264.1M | -1.32%-262.07M | -1.32%-262.07M | -1.03%-258.66M | -1.03%-258.66M | 1.20%-256.03M | 1.20%-256.03M | -1.54%-259.15M | -1.54%-259.15M |
Gains losses not affecting retained earnings | -0.01%29M | -0.01%29M | 1.63%29M | 1.63%29M | 1.37%28.54M | 1.37%28.54M | -7.44%28.15M | -7.44%28.15M | 0.21%30.42M | 0.21%30.42M |
Total stockholders'equity | -46.55%2.42M | -46.55%2.42M | 70.91%4.54M | 70.91%4.54M | -44.22%2.65M | -44.22%2.65M | 22.03%4.76M | 22.03%4.76M | -39.10%3.9M | -39.10%3.9M |
Total equity | -46.55%2.42M | -46.55%2.42M | 70.91%4.54M | 70.91%4.54M | -44.22%2.65M | -44.22%2.65M | 22.03%4.76M | 22.03%4.76M | -39.10%3.9M | -39.10%3.9M |
Accounting Standards | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP |
No Data