(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 | -18.62%637.22M | -16.76%680.14M | -16.52%722.78M | -17.74%753.24M | -17.74%753.24M | -18.22%783M | -18.67%817.07M | -19.10%865.78M | -18.74%915.74M | -18.74%915.74M |
-Cash and cash equivalents | -18.68%635.11M | -16.81%678.03M | -16.57%720.67M | -17.80%751.13M | -17.80%751.13M | -18.26%780.99M | -18.71%815.06M | -19.13%863.77M | -18.70%913.73M | -18.70%913.73M |
-Short-term investments | 4.97%2.11M | 4.87%2.11M | 4.97%2.11M | 5.07%2.11M | 5.07%2.11M | 0.20%2.01M | 0.20%2.01M | 0.20%2.01M | -33.06%2.01M | -33.06%2.01M |
Receivables | -31.24%30.71M | 1.87%39.33M | -4.12%41.53M | 20.27%58.57M | 20.27%58.57M | -9.85%44.66M | -21.55%38.61M | -8.16%43.31M | 4.96%48.7M | 4.96%48.7M |
-Accounts receivable | -21.47%20.11M | 8.17%20.25M | -1.39%22.28M | 45.24%37.49M | 45.24%37.49M | 7.99%25.6M | -8.53%18.72M | 13.82%22.59M | 32.89%25.81M | 32.89%25.81M |
-Other receivables | -44.36%10.6M | -4.06%19.08M | -7.10%19.25M | -7.91%21.08M | -7.91%21.08M | -26.22%19.06M | -30.81%19.89M | -24.13%20.72M | -15.16%22.88M | -15.16%22.88M |
Inventory | -4.58%67.17M | -15.44%62.04M | -13.31%55.84M | -20.98%45.87M | -20.98%45.87M | 20.05%70.39M | 24.42%73.37M | 11.97%64.41M | 12.68%58.05M | 12.68%58.05M |
Other current assets | -26.73%7.37M | -27.84%7.44M | -31.11%6.7M | 17.33%7.06M | 17.33%7.06M | 71.05%10.06M | 28.97%10.31M | 24.54%9.73M | 37.63%6.02M | 37.63%6.02M |
Total current assets | -18.24%742.47M | -16.01%788.95M | -15.91%826.84M | -15.92%864.74M | -15.92%864.74M | -15.25%908.12M | -16.19%939.36M | -16.86%983.23M | -16.33%1.03B | -16.33%1.03B |
Non current assets | ||||||||||
Net PPE | -71.37%32.36M | 31.41%135.97M | 45.60%132.79M | 41.24%116.33M | 41.24%116.33M | 63.03%113.02M | 57.15%103.48M | 58.38%91.2M | 46.91%82.36M | 46.91%82.36M |
-Gross PPE | 21.53%137.36M | 31.41%135.97M | 45.60%132.79M | 28.87%203.19M | 28.87%203.19M | 63.03%113.02M | 57.15%103.48M | 58.38%91.2M | 28.36%157.67M | 28.36%157.67M |
-Accumulated depreciation | ---105M | ---- | ---- | -15.35%-86.87M | -15.35%-86.87M | ---- | ---- | ---- | -12.78%-75.31M | -12.78%-75.31M |
Goodwill and other intangible assets | -94.80%2.19M | -38.74%42.06M | -39.76%41.61M | -40.01%41.68M | -40.01%41.68M | -49.49%42.02M | -18.17%68.66M | -18.27%69.07M | -18.31%69.48M | -18.31%69.48M |
-Goodwill | --0 | -37.33%40.28M | -37.33%40.28M | -37.33%40.28M | -37.33%40.28M | -37.33%40.28M | 0.00%64.27M | 0.00%64.27M | 0.00%64.27M | 0.00%64.27M |
-Other intangible assets | 25.47%2.19M | -59.39%1.78M | -72.32%1.33M | -73.03%1.41M | -73.03%1.41M | -90.79%1.74M | -77.63%4.39M | -76.30%4.8M | -74.92%5.21M | -74.92%5.21M |
Investments and advances | -17.61%52.86M | -20.09%53.59M | -26.68%48.63M | -18.25%54.25M | -18.25%54.25M | 0.27%64.16M | 8.12%67.05M | 1.22%66.32M | -5.60%66.36M | -5.60%66.36M |
Other non current assets | 40.48%524K | 38.73%523K | 44.59%535K | 47.84%547K | 47.84%547K | 2.19%373K | 6.20%377K | 4.52%370K | 6.32%370K | 6.32%370K |
Total non current assets | -59.96%87.93M | -3.10%232.14M | -1.50%223.55M | -2.64%212.8M | -2.64%212.8M | 1.25%219.57M | 12.94%239.57M | 9.13%226.95M | 3.22%218.57M | 3.22%218.57M |
Total assets | -26.36%830.4M | -13.39%1.02B | -13.20%1.05B | -13.59%1.08B | -13.59%1.08B | -12.47%1.13B | -11.55%1.18B | -12.98%1.21B | -13.45%1.25B | -13.45%1.25B |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Payables | -3.71%34.74M | 2.81%33.65M | 6.23%33.37M | -0.60%34.07M | -0.60%34.07M | 37.64%36.08M | 13.45%32.73M | 7.58%31.42M | 12.65%34.27M | 12.65%34.27M |
-accounts payable | 7.28%19.37M | 8.86%21.4M | 3.80%19.63M | -32.86%13.72M | -32.86%13.72M | -2.34%18.05M | 11.14%19.66M | 19.66%18.91M | 49.32%20.44M | 49.32%20.44M |
-Total tax payable | -62.69%341K | -64.00%162K | -41.72%542K | 89.25%1.11M | 89.25%1.11M | 219.58%914K | 89.87%450K | 83.07%930K | -35.32%586K | -35.32%586K |
-Other payable | -12.16%15.03M | -4.23%12.08M | 14.04%13.2M | 45.19%19.24M | 45.19%19.24M | 129.98%17.11M | 15.53%12.62M | -10.20%11.57M | -16.31%13.25M | -16.31%13.25M |
Current provisions | 75.61%32.3M | 19.30%21.36M | 12.68%21.13M | 4.24%21.8M | 4.24%21.8M | 36.16%18.39M | 56.21%17.91M | 75.37%18.75M | -26.00%20.91M | -26.00%20.91M |
Current debt and capital lease obligation | -16.87%3.53M | -14.20%3.5M | -14.38%3.42M | 15.66%4.51M | 15.66%4.51M | 19.72%4.25M | 11.76%4.08M | 15.95%3.99M | 20.29%3.9M | 20.29%3.9M |
-Current capital lease obligation | -16.87%3.53M | -14.20%3.5M | -14.38%3.42M | 15.66%4.51M | 15.66%4.51M | 19.72%4.25M | 11.76%4.08M | 15.95%3.99M | 20.29%3.9M | 20.29%3.9M |
Current deferred liabilities | -20.25%6.87M | 20.18%9.08M | 14.08%8.2M | -42.86%4.59M | -42.86%4.59M | -19.51%8.62M | -35.21%7.56M | -41.18%7.19M | -33.69%8.03M | -33.69%8.03M |
Other current liabilities | 1.02%4.97M | -17.31%4.76M | -37.79%4.78M | -7.11%5.63M | -7.11%5.63M | -75.68%4.92M | -68.52%5.76M | -64.20%7.68M | -33.64%6.06M | -33.64%6.06M |
Current liabilities | 14.06%82.41M | 6.36%72.35M | 2.71%70.89M | -3.53%70.59M | -3.53%70.59M | -2.64%72.26M | -7.98%68.03M | -10.37%69.02M | -12.01%73.17M | -12.01%73.17M |
Non current liabilities | ||||||||||
Long term provisions | ---- | ---- | ---- | ---- | ---- | 4.81%1.85M | -0.21%1.86M | -5.37%1.81M | ---- | ---- |
Long term debt and capital lease obligation | 69.91%23.99M | 146.06%24.53M | 136.15%25.7M | 13.15%13.39M | 13.15%13.39M | 16.01%14.12M | -27.38%9.97M | -20.69%10.88M | -14.74%11.84M | -14.74%11.84M |
-Long term capital lease obligation | 69.91%23.99M | 146.06%24.53M | 136.15%25.7M | 13.15%13.39M | 13.15%13.39M | 16.01%14.12M | -27.38%9.97M | -20.69%10.88M | -14.74%11.84M | -14.74%11.84M |
Non current deferred liabilities | 348.73%2.64M | -60.03%277K | -52.20%381K | -46.23%485K | -46.23%485K | -85.44%589K | -84.83%693K | -82.64%797K | -81.58%902K | -81.58%902K |
Employee benefits | -201.25%-486K | -203.62%-486K | -203.91%-478K | ---- | ---- | -75.35%480K | -75.66%469K | -75.92%460K | ---- | ---- |
Other non current liabilities | --2.34M | --2.29M | --2.3M | -17.61%1.86M | -17.61%1.86M | ---- | ---- | ---- | -74.59%2.26M | -74.59%2.26M |
Total non current liabilities | 67.15%28.48M | 104.77%26.61M | 99.94%27.9M | 4.95%15.74M | 4.95%15.74M | -32.04%17.04M | -52.28%13M | -49.21%13.95M | -49.27%15M | -49.27%15M |
Total liabilities | 24.19%110.89M | 22.14%98.96M | 19.06%98.79M | -2.09%86.33M | -2.09%86.33M | -10.06%89.29M | -19.91%81.02M | -20.58%82.98M | -21.79%88.17M | -21.79%88.17M |
Shareholders'equity | ||||||||||
Share capital | 0.23%2.43B | 0.23%2.43B | 0.27%2.43B | 0.22%2.43B | 0.22%2.43B | 0.19%2.42B | 0.19%2.42B | 0.13%2.42B | 0.17%2.42B | 0.17%2.42B |
-common stock | 0.23%2.43B | 0.23%2.43B | 0.27%2.43B | 0.22%2.43B | 0.22%2.43B | 0.19%2.42B | 0.19%2.42B | 0.13%2.42B | 0.17%2.42B | 0.17%2.42B |
Retained earnings | -19.44%-2.02B | -11.42%-1.81B | -11.55%-1.78B | -11.32%-1.74B | -11.32%-1.74B | -10.43%-1.69B | -9.41%-1.62B | -11.58%-1.59B | -12.48%-1.56B | -12.48%-1.56B |
Paid-in capital | 0.78%308.99M | 1.47%308.06M | 1.48%306.68M | 1.75%306.04M | 1.75%306.04M | 1.77%306.6M | 1.69%303.59M | 2.13%302.19M | 0.99%300.76M | 0.99%300.76M |
Gains losses not affecting retained earnings | 29.31%-2.75M | -11.59%-4.14M | -186.22%-3.86M | -98.79%-2.96M | -98.79%-2.96M | -45.05%-3.9M | -9,615.38%-3.71M | -184.38%-1.35M | -186.58%-1.49M | -186.58%-1.49M |
Total stockholders'equity | -30.71%719.51M | -16.01%922.13M | -15.58%951.6M | -14.47%991.22M | -14.47%991.22M | -12.67%1.04B | -10.87%1.1B | -12.36%1.13B | -12.75%1.16B | -12.75%1.16B |
Total equity | -30.71%719.51M | -16.01%922.13M | -15.58%951.6M | -14.47%991.22M | -14.47%991.22M | -12.67%1.04B | -10.87%1.1B | -12.36%1.13B | -12.75%1.16B | -12.75%1.16B |
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 with Explanatory Notes | -- |
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