(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 | -62.29%-1.46M | -2,714.67%-670.54K | 70.44%-34.44K | -335.87%-1.3M | -154.94%-261.91K | -391.15%-899.35K | 87.84%-23.82K | -207.93%-116.52K | 5,923.60%551.82K | -1.30%476.74K |
Net income from continuing operations | 48.44%-1.35M | 176.80%199.1K | -50.23%-103.76K | -638.57%-2.63M | 296.51%308.46K | -3,271.00%-2.61M | -86.97%-259.25K | -504.70%-69.07K | -147.36%-355.97K | -275.89%-156.97K |
Operating gains losses | -104.87%-59.63K | -80.29%-20K | -73.95%-15.13K | 46.78%-61.41K | 84.86%-12.52K | -117.15%-29.1K | 8.27%-11.09K | -20.28%-8.7K | -423.59%-115.38K | -865.70%-82.65K |
Depreciation and amortization | 67.55%49.08K | 27.83%31.46K | 18.97%29.59K | 2.85%108.42K | 13.81%29.66K | 13.38%29.29K | -8.45%24.61K | -6.68%24.87K | -2.58%105.42K | -1.73%26.06K |
Other non cash items | -5.62%2.44K | 1,148.99%30.39K | 52.39%2.71K | 13.90%8.88K | -8.36%2.08K | 48.73%2.58K | --2.43K | --1.78K | --7.79K | --2.27K |
Change In working capital | -100.70%-744 | -1,312.91%-326.33K | 113.98%3.92K | -85.84%117.98K | -98.32%12.44K | -65.22%106.64K | 119.88%26.91K | 64.14%-28.01K | 196.65%833.39K | 104.40%740.15K |
-Change in receivables | -32.91%139.92K | 1,192.19%153.23K | -131.16%-105.67K | 9.71%606.16K | 7.83%72.59K | 871.71%208.55K | -108.70%-14.03K | 12.12%339.05K | -14.24%552.51K | -91.07%67.32K |
-Change in inventory | -719.65%-356.07K | 116.51%43.95K | -22.20%60.82K | -129.48%-160.39K | -125.30%-29.89K | -86.20%57.46K | -294.68%-266.14K | 161.56%78.17K | 257.37%544.11K | 445.06%118.14K |
-Change in payables and accrued expense | 179.13%200.59K | -259.54%-513.65K | 112.75%55.23K | -218.55%-381.29K | -102.57%-16.68K | -89.55%-253.51K | 175.39%321.95K | -107.57%-433.06K | 89.86%-119.7K | 265.29%649.74K |
-Change in other current liabilities | -102.23%-2.08K | -53.69%-10.23K | -175.79%-12.04K | 160.48%76.62K | 95.10%-5.37K | 1,696.16%93.01K | -7.74%-6.65K | 12.80%-4.37K | -528.12%-126.69K | -2,431.20%-109.68K |
-Change in other working capital | 1,403.29%16.9K | 104.36%359 | 171.50%5.58K | -37.20%-23.12K | -156.19%-8.22K | -86.77%1.12K | -7,589.72%-8.23K | 80.43%-7.8K | -142.16%-16.85K | --14.63K |
Cash from discontinued investing activities | ||||||||||
Operating cash flow | -62.29%-1.46M | -2,714.67%-670.54K | 70.44%-34.44K | -335.87%-1.3M | -154.94%-261.91K | -391.15%-899.35K | 87.84%-23.82K | -207.93%-116.52K | 5,923.60%551.82K | -1.30%476.74K |
Investing cash flow | ||||||||||
Cash flow from continuing investing activities | 49.23%-183.12K | 2,816.22%83.06K | 576.62%24.1K | 15.08%-382.58K | 72.44%-13.75K | -2,064.65%-360.71K | 98.62%-3.06K | 97.44%-5.06K | 8.17%-450.5K | 34.59%-49.9K |
Net PPE purchase and sale | -48.65%-199.19K | 87.23%-1.83K | -21,414.71%-21.95K | -175.79%-149.4K | 94.50%-937 | -3,561.28%-134K | -1,010.29%-14.36K | 99.68%-102 | -1,613.19%-54.17K | -1,231.27%-17.03K |
Net investment purchase and sale | 90.49%-24.34K | -2,172.77%-4.19K | 371.85%37.1K | 42.43%-294.59K | 77.73%-25.33K | -3,851.44%-255.81K | 100.09%202 | 92.07%-13.65K | -0.44%-511.71K | -36.09%-113.73K |
Net other investing changes | --1.59K | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
Cash from discontinued investing activities | ||||||||||
Investing cash flow | 49.23%-183.12K | 2,816.22%83.06K | 576.62%24.1K | 15.08%-382.58K | 72.44%-13.75K | -2,064.65%-360.71K | 98.62%-3.06K | 97.44%-5.06K | 8.17%-450.5K | 34.59%-49.9K |
Financing cash flow | ||||||||||
Cash flow from continuing financing activities | -103.47%-199.41K | 7,234.40%173.58K | 1,461.38%24.22K | 5,219.80%5.75M | 589.05%11.12K | 331,172.47%5.75M | -2.43K | -1.78K | 483.28%108.17K | 54.16%-2.27K |
Net issuance payments of debt | ---- | ---- | ---- | --0 | ---- | ---- | ---- | ---- | -29.41%-34.04K | --0 |
Cash dividends paid | --0 | --0 | --0 | --0 | --0 | --0 | --0 | --0 | --0 | --0 |
Net other financing activities | ---196.98K | --175.41K | --26.93K | 3,742.13%5.76M | ---- | ---- | ---- | ---- | 7,912.50%150K | ---- |
Cash from discontinued financing activities | ||||||||||
Financing cash flow | -103.47%-199.41K | 7,234.40%173.58K | 1,461.38%24.22K | 5,219.80%5.75M | 589.05%11.12K | 331,172.47%5.75M | ---2.43K | ---1.78K | 483.28%108.17K | 54.16%-2.27K |
Net cash flow | ||||||||||
Beginning cash position | 207.85%5.41M | 195.57%5.83M | 179.84%5.93M | -0.24%2.12M | 320.37%6.15M | 31.21%1.76M | 6.99%1.97M | -0.24%2.12M | -23.81%2.12M | -14.00%1.46M |
Current changes in cash | -141.05%-1.84M | -1,311.95%-413.9K | 111.25%13.88K | 1,842.87%4.07M | -162.31%-264.55K | 1,278.54%4.49M | 90.41%-29.31K | 47.50%-123.35K | 141.11%209.49K | 5.68%424.56K |
Effect of exchange rate changes | 670.01%565.22K | 97.71%-4.25K | -397.91%-111.03K | -21.04%-259.68K | -79.75%47K | 51.29%-99.16K | 6.63%-185.22K | 50.03%-22.3K | -39.19%-214.55K | 966.13%232.03K |
End cash Position | -32.69%4.14M | 207.85%5.41M | 195.57%5.83M | 179.84%5.93M | 179.84%5.93M | 320.37%6.15M | 31.21%1.76M | 6.99%1.97M | -0.24%2.12M | -0.24%2.12M |
Free cash flow | -60.52%-1.66M | -1,661.11%-672.37K | 51.65%-56.39K | -391.57%-1.45M | -157.18%-262.85K | -438.55%-1.03M | 80.65%-38.18K | -66.53%-116.62K | 8,195.57%497.65K | -4.57%459.71K |
Currency Unit | USD | USD | USD | USD | USD | USD | USD | USD | USD | USD |
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