(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 | (Q3)Sep 30, 2022 | |
---|---|---|---|---|---|---|---|---|---|---|
Assets | ||||||||||
Current assets | ||||||||||
Cash, cash equivalents and short term investments | 1,000.15%260.92M | 1,737.71%262.72M | 561.83%133.55M | 561.83%133.55M | 333.32%149.79M | 11.38%23.72M | -46.56%14.3M | 9.03%20.18M | 9.03%20.18M | 33.65%34.57M |
-Cash and cash equivalents | 1,000.15%260.92M | 1,737.71%262.72M | 561.83%133.55M | 561.83%133.55M | 333.32%149.79M | 11.38%23.72M | -46.56%14.3M | 9.03%20.18M | 9.03%20.18M | 33.65%34.57M |
Receivables | 31.55%12.34M | 32.82%11.66M | -23.75%9.12M | -23.75%9.12M | -36.62%9.14M | -33.34%9.38M | -31.79%8.78M | 12.42%11.97M | 12.42%11.97M | 30.82%14.42M |
-Accounts receivable | 31.55%12.34M | 32.82%11.66M | -23.75%9.12M | -23.75%9.12M | -36.62%9.14M | -33.34%9.38M | -31.79%8.78M | 12.42%11.97M | 12.42%11.97M | 30.82%14.42M |
Inventory | -2.01%46.65M | 3.27%45.39M | 19.69%46.95M | 19.69%46.95M | 49.19%50.3M | 44.91%47.61M | 63.25%43.96M | 68.04%39.23M | 68.04%39.23M | 82.29%33.71M |
Prepaid assets | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | 55.34%11.11M |
Other current assets | 4.14%14.7M | 7.18%15.31M | 42.82%15.64M | 42.82%15.64M | --12.19M | --14.12M | --14.28M | 24.48%10.95M | 24.48%10.95M | ---- |
Total current assets | 252.89%334.61M | 312.08%335.08M | 149.34%205.26M | 149.34%205.26M | 136.03%221.41M | 25.98%94.82M | 12.25%81.31M | 34.31%82.32M | 34.31%82.32M | 50.02%93.81M |
Non current assets | ||||||||||
Net PPE | 34.94%1.29B | 38.62%1.2B | 43.71%1.12B | 43.71%1.12B | 48.88%1.05B | 54.94%956.96M | 56.13%866.07M | 159.18%782.71M | 159.18%782.71M | 183.15%708.19M |
-Gross PPE | 36.79%1.44B | 40.39%1.33B | 45.13%1.24B | 45.13%1.24B | 49.93%1.16B | 55.57%1.05B | 56.75%948.01M | 139.52%855.21M | 139.52%855.21M | 157.60%772.47M |
-Accumulated depreciation | -55.97%-144.15M | -59.11%-130.37M | -60.48%-116.34M | -60.48%-116.34M | -61.52%-103.84M | -62.33%-92.42M | -63.70%-81.94M | -31.70%-72.5M | -31.70%-72.5M | -29.20%-64.29M |
Goodwill and other intangible assets | -10.72%25.59M | -11.10%26.24M | -11.14%27.04M | -11.14%27.04M | -11.48%27.84M | -11.83%28.66M | -12.01%29.52M | 2.06%30.43M | 2.06%30.43M | 2.23%31.46M |
-Goodwill | 0.00%21.63M | 0.00%21.63M | 0.00%21.63M | 0.00%21.63M | 0.00%21.63M | 0.00%21.63M | 0.00%21.63M | 15.57%21.63M | 15.57%21.63M | 15.57%21.63M |
-Other intangible assets | -43.67%3.96M | -41.53%4.62M | -38.49%5.42M | -38.49%5.42M | -36.75%6.22M | -35.35%7.04M | -33.80%7.89M | -20.71%8.8M | -20.71%8.8M | -18.48%9.83M |
Non current deferred assets | 153.42%721.69M | 77.16%507.36M | 39.56%403M | 39.56%403M | 12.68%330.28M | 27.51%284.78M | 28.21%286.39M | 81.58%288.77M | 81.58%288.77M | 84.74%293.11M |
Other non current assets | 32.52%4.06M | 144.31%4.08M | 81.71%3.87M | 81.71%3.87M | 91.42%5.18M | 282.02%3.06M | 307.32%1.67M | 36.17%2.13M | 36.17%2.13M | 73.11%2.7M |
Total non current assets | 60.40%2.04B | 46.85%1.74B | 41.19%1.56B | 41.19%1.56B | 36.91%1.42B | 45.66%1.27B | 45.76%1.18B | 124.21%1.1B | 124.21%1.1B | 134.74%1.04B |
Total assets | 73.74%2.38B | 63.90%2.07B | 48.69%1.76B | 48.69%1.76B | 45.14%1.64B | 44.10%1.37B | 43.01%1.26B | 114.26%1.19B | 114.26%1.19B | 124.22%1.13B |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Payables | 46.43%36.09M | 60.90%38.76M | 40.84%29.96M | 40.84%29.96M | 2.71%27.7M | 9.49%24.65M | 10.33%24.09M | 4.06%21.27M | 4.06%21.27M | 9.62%26.97M |
-accounts payable | 46.43%36.09M | 60.90%38.76M | 40.84%29.96M | 40.84%29.96M | 2.71%27.7M | 9.49%24.65M | 10.33%24.09M | 4.06%21.27M | 4.06%21.27M | 9.62%26.97M |
Current accrued expenses | -46.22%19.29M | -39.07%17.28M | 63.13%15.77M | 63.13%15.77M | 76.41%40.31M | 72.06%35.87M | 44.92%28.36M | -53.90%9.67M | -53.90%9.67M | 27.48%22.85M |
Current debt and capital lease obligation | -85.97%28.59M | -80.90%32.72M | -81.48%24.21M | -81.48%24.21M | -78.28%22.76M | 225.42%203.81M | 320.82%171.25M | 93.45%130.76M | 93.45%130.76M | 181.68%104.83M |
-Current debt | -92.31%14.18M | -91.78%12.62M | -96.04%4.49M | -96.04%4.49M | -95.63%3.86M | 282.06%184.33M | 458.38%153.59M | 76.73%113.47M | 76.73%113.47M | 158.71%88.36M |
-Current capital lease obligation | -26.02%14.41M | 13.77%20.1M | 14.07%19.72M | 14.07%19.72M | 14.78%18.9M | 35.44%19.48M | 33.94%17.67M | 410.12%17.29M | 410.12%17.29M | 438.10%16.47M |
Current deferred liabilities | 40.83%31.41M | 33.44%29.11M | 19.79%30.35M | 19.79%30.35M | -22.25%22.41M | -17.30%22.3M | -8.45%21.82M | 11.08%25.34M | 11.08%25.34M | 67.83%28.83M |
Other current liabilities | -21.81%5.87M | -23.10%5.61M | 8.15%6.42M | 8.15%6.42M | 10.51%7.62M | 14.57%7.51M | 8.28%7.3M | -14.19%5.94M | -14.19%5.94M | 36.80%6.9M |
Current liabilities | -47.95%153.1M | -42.04%146.54M | -35.06%138.12M | -35.06%138.12M | -36.54%120.81M | 110.84%294.14M | 124.39%252.82M | 53.30%212.68M | 53.30%212.68M | 86.71%190.37M |
Non current liabilities | ||||||||||
Long term debt and capital lease obligation | 52.29%882.25M | 54.11%828.65M | 31.88%652.37M | 31.88%652.37M | 34.40%622.87M | 38.94%579.34M | 38.35%537.7M | 495.32%494.66M | 495.32%494.66M | 523.07%463.46M |
-Long term debt | 142.28%228.97M | 144.03%233.57M | -3.24%93.18M | -3.24%93.18M | -4.31%92.7M | -3.03%94.51M | -1.62%95.71M | 2,648.99%96.3M | 2,648.99%96.3M | 4,660.64%96.88M |
-Long term capital lease obligation | 34.75%653.29M | 34.64%595.08M | 40.37%559.19M | 40.37%559.19M | 44.63%530.16M | 51.74%484.83M | 51.69%441.98M | 400.53%398.36M | 400.53%398.36M | 406.68%366.58M |
Non current deferred liabilities | 19.46%7.12M | 3.42%6.31M | 9.10%6.68M | 9.10%6.68M | 7.93%5.52M | 26.99%5.96M | 32.96%6.1M | -25.22%6.12M | -25.22%6.12M | -30.47%5.12M |
Other non current liabilities | 176.54%605.01M | 80.23%395.85M | 31.68%290.93M | 31.68%290.93M | -3.23%219.19M | 32.49%218.78M | 33.01%219.64M | 100.91%220.93M | 100.91%220.93M | 105.35%226.51M |
Total non current liabilities | 85.85%1.49B | 61.22%1.23B | 31.63%949.97M | 31.63%949.97M | 21.94%847.58M | 37.03%804.07M | 36.72%763.44M | 258.63%721.71M | 258.63%721.71M | 261.93%695.08M |
Total liabilities | 50.02%1.65B | 35.53%1.38B | 16.45%1.09B | 16.45%1.09B | 9.37%968.39M | 51.21%1.1B | 51.44%1.02B | 174.84%934.38M | 174.84%934.38M | 201.16%885.46M |
Shareholders'equity | ||||||||||
Share capital | -50.00%1K | 0.00%2K | 0.00%2K | 0.00%2K | 0.00%2K | 0.00%2K | 0.00%2K | 0.00%2K | 0.00%2K | 0.00%2K |
-common stock | -50.00%1K | 0.00%2K | 0.00%2K | 0.00%2K | 0.00%2K | 0.00%2K | 0.00%2K | 0.00%2K | 0.00%2K | 0.00%2K |
-Preferred stock | --0 | --0 | --0 | --0 | --0 | --0 | --0 | --0 | --0 | --0 |
Retained earnings | 118.53%3.41M | 59.67%-8.53M | 9.92%-15.59M | 9.92%-15.59M | 14.76%-14.19M | -1.40%-18.4M | -22.69%-21.15M | -36.52%-17.31M | -36.52%-17.31M | -147.06%-16.65M |
Paid-in capital | 230.06%504.66M | 185.29%424.72M | 160.55%379.39M | 160.55%379.39M | 143.69%344.77M | 20.83%152.9M | 21.38%148.87M | 35.84%145.61M | 35.84%145.61M | 39.23%141.48M |
Gains losses not affecting retained earnings | 18.45%1.07M | 56.78%925K | -33.09%544K | -33.09%544K | 28.89%1.09M | 524.14%905K | --590K | --813K | --813K | --848K |
Total stockholders'equity | 276.01%509.14M | 225.08%417.12M | 182.18%364.35M | 182.18%364.35M | 163.90%331.68M | 24.75%135.41M | 21.72%128.31M | 36.61%129.12M | 36.61%129.12M | 32.47%125.68M |
Noncontrolling interests | 63.86%220.67M | 131.62%278.85M | 153.61%311.58M | 153.61%311.58M | 186.97%338.96M | 17.41%134.67M | 11.44%120.39M | 3.06%122.86M | 3.06%122.86M | 2.94%118.12M |
Total equity | 170.23%729.81M | 179.84%695.96M | 168.25%675.92M | 168.25%675.92M | 175.07%670.64M | 20.98%270.08M | 16.52%248.7M | 17.90%251.98M | 17.90%251.98M | 16.31%243.8M |
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 | -- | -- | -- | -- | -- | -- | -- |
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