(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 | 51.67%-14.3M | -73.28%-11.42M | 60.09%-15.05M | 21.70%-73.13M | 102.54%737K | -423.20%-29.59M | -18.92%-6.59M | 29.14%-37.69M | 20.68%-93.4M | 34.32%-29.01M |
Net income from continuing operations | -30.54%-22.94M | 65.34%-19.7M | -596.89%-21.28M | 9.85%-115.31M | 29.40%-37.85M | 41.76%-17.57M | -106.29%-56.84M | 81.58%-3.05M | -1.31%-127.91M | -27.01%-53.61M |
Operating gains losses | 103.34%400K | -110.02%-504K | 106.69%1.38M | 0.38%-46.58M | -163.07%-18.98M | -190.03%-11.99M | 237.06%5.03M | 34.95%-20.65M | -7,338.08%-46.76M | -604.83%-7.21M |
Depreciation and amortization | -29.25%3.86M | -28.09%3.84M | -19.70%4.23M | -5.37%21.61M | -12.29%5.55M | -1.83%5.46M | -3.70%5.33M | -2.61%5.26M | 78.17%22.84M | 45.33%6.33M |
Other non cash items | -138.42%-587K | -128.49%-1.21M | 25.82%3.36M | -17.79%19.82M | -0.58%11.38M | -53.20%1.53M | 72.27%4.24M | -61.52%2.67M | 8,126.62%24.1M | 508.39%11.44M |
Change In working capital | 149.88%3.9M | -80.58%3.97M | 83.59%-4.02M | 8,968.24%7.54M | 601.13%19.45M | -151.68%-7.82M | 74.24%20.42M | -6.33%-24.51M | 99.33%-85K | 59.07%-3.88M |
-Change in receivables | 473.34%5.45M | -203.29%-1.29M | 318.35%2.59M | 134.10%1.05M | -0.43%4.12M | 16.10%-1.46M | 80.85%-426K | 63.39%-1.19M | 56.38%-3.07M | 143.42%4.14M |
-Change in inventory | -47.07%6.48M | -97.62%461K | -52.83%5.5M | 1,126.46%47.86M | 140.90%4.54M | 557.81%12.25M | 36.96%19.41M | 330.77%11.66M | 60.11%-4.66M | -77.95%-11.1M |
-Change in payables and accrued expense | 21.59%-10.61M | -258.19%-2.73M | 78.34%-7.3M | -3,847.38%-41.45M | 42.44%6.55M | -180.62%-13.53M | 87.41%-763K | -137.10%-33.7M | -94.13%1.11M | -60.30%4.6M |
-Change in other working capital | 150.80%2.58M | 242.58%7.53M | -273.93%-4.82M | -98.88%73K | 380.99%4.24M | -284.09%-5.08M | -62.32%2.2M | -138.70%-1.29M | 150.89%6.54M | ---1.51M |
Cash from discontinued investing activities | ||||||||||
Operating cash flow | 51.67%-14.3M | -73.28%-11.42M | 60.09%-15.05M | 21.70%-73.13M | 102.54%737K | -423.20%-29.59M | -18.92%-6.59M | 29.14%-37.69M | 20.68%-93.4M | 34.32%-29.01M |
Investing cash flow | ||||||||||
Cash flow from continuing investing activities | -48.15%13.55M | -19.81%5.7M | 70.32%66.42M | 393.27%118.03M | 5.92%45.79M | 429.20%26.14M | 111.12%7.11M | 435.75%38.99M | 73.97%-40.25M | 119.91%43.24M |
Net PPE purchase and sale | 97.38%-83K | 98.85%-49K | 84.74%-409K | 185.58%14.11M | 621.07%24.24M | 48.84%-3.17M | -87.79%-4.28M | 20.24%-2.68M | 47.65%-16.49M | 4.83%-4.65M |
Net business purchase and sale | 53.78%692K | --0 | --57.71M | -85.23%2.38M | --0 | 4,600.00%450K | --1.93M | --0 | 113.84%16.1M | 116.26%17.14M |
Net investment purchase and sale | -52.63%12.94M | -62.41%3.55M | -78.13%9.11M | 350.45%99.82M | -30.37%21.41M | 1,678.16%27.32M | 115.32%9.45M | 676.83%41.65M | -485.10%-39.86M | 128.76%30.75M |
Net other investing changes | -99.93%1K | 24,322.22%2.2M | -92.59%2K | --1.73M | --151K | --1.54M | --9K | --27K | ---- | ---- |
Cash from discontinued investing activities | ||||||||||
Investing cash flow | -48.15%13.55M | -19.81%5.7M | 70.32%66.42M | 393.27%118.03M | 5.92%45.79M | 429.20%26.14M | 111.12%7.11M | 435.75%38.99M | 73.97%-40.25M | 119.91%43.24M |
Financing cash flow | ||||||||||
Cash flow from continuing financing activities | -19.77%-1.54M | 295.44%8.31M | -1,628.68%-60.76M | -173.61%-72.14M | -6,757.28%-63.09M | 59.83%-1.29M | -134.74%-4.25M | -103.91%-3.52M | -71.31%98.01M | -101.10%-920K |
Net issuance payments of debt | -10.33%-1.54M | 295.46%8.35M | -3,617.65%-60.86M | -597.05%-72.45M | -3,928.63%-65.14M | 58.87%-1.39M | -127.92%-4.27M | -138.23%-1.64M | -73.74%14.58M | -101.94%-1.62M |
Proceeds from stock option exercised by employees | -100.92%-1K | -300.00%-36K | -22.13%95K | -86.88%305K | -85.07%56K | -81.80%109K | -97.48%18K | -80.82%122K | 241.41%2.33M | 715.22%375K |
Net other financing activities | ---- | ---- | ---- | ---- | ---- | --0 | --0 | ---2M | -71.58%81.11M | --322K |
Cash from discontinued financing activities | ||||||||||
Financing cash flow | -19.77%-1.54M | 295.44%8.31M | -1,628.68%-60.76M | -173.61%-72.14M | -6,757.28%-63.09M | 59.83%-1.29M | -134.74%-4.25M | -103.91%-3.52M | -71.31%98.01M | -101.10%-920K |
Net cash flow | ||||||||||
Beginning cash position | -75.19%9.27M | -83.76%6.68M | -62.88%16.08M | -45.14%43.32M | 8.87%32.64M | -20.09%37.37M | -60.47%41.11M | -45.14%43.32M | 710.46%78.96M | -88.34%29.98M |
Current changes in cash | 51.74%-2.29M | 169.54%2.6M | -324.25%-9.39M | 23.55%-27.24M | -224.43%-16.56M | 71.79%-4.74M | 93.48%-3.73M | -108.83%-2.21M | -151.48%-35.63M | 107.47%13.31M |
Effect of exchange rate changes | --0 | --1K | ---13K | --0 | --0 | --0 | --0 | --0 | -325.00%-9K | 242.31%37K |
End cash Position | -78.59%6.99M | -75.19%9.27M | -83.76%6.68M | -62.88%16.08M | -62.88%16.08M | 8.87%32.64M | -20.09%37.37M | -60.47%41.11M | -45.14%43.32M | -45.14%43.32M |
Free cash flow | 56.10%-14.38M | -5.53%-11.47M | 61.72%-15.45M | 22.74%-84.89M | 97.34%-896K | -176.37%-32.76M | -38.98%-10.86M | 28.61%-40.37M | 26.37%-109.88M | 31.38%-33.66M |
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 | -- |
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