(Q3)Sep 28, 2024 | (Q2)Jun 29, 2024 | (Q1)Mar 30, 2024 | (FY)Dec 31, 2023 | (Q4)Dec 31, 2023 | (Q3)Sep 30, 2023 | (Q2)Jul 1, 2023 | (Q1)Apr 1, 2023 | (FY)Dec 31, 2022 | (Q4)Dec 31, 2022 | |
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Operating Cash Flow (Indirect Method) | ||||||||||
Cash flow from continuing operating activities | -343.51%-22.05M | 65.32%-16.01M | 24.59%-31.81M | 66.33%-107.83M | 42.80%-28.54M | 126.12%9.05M | 34.51%-46.16M | 74.47%-42.18M | -6.26%-320.24M | 54.77%-49.9M |
Net income from continuing operations | 62.30%-26.58M | 35.56%-34.48M | 7.92%-54.36M | 7.65%-338.14M | -131.97%-155.11M | 30.67%-70.49M | 44.92%-53.51M | 41.23%-59.04M | -101.06%-366.14M | 16.80%-66.87M |
Operating gains losses | -232.88%-3.62M | -47.32%708K | -63.36%2.35M | -7.93%22.6M | 664.35%12.12M | -79.63%2.73M | -84.36%1.34M | 550.20%6.41M | 482.48%24.54M | -11.99%1.59M |
Depreciation and amortization | -8.60%5.28M | -11.33%5.21M | 15.21%6.97M | 47.61%48.09M | 225.80%30.39M | -31.49%5.78M | -23.94%5.88M | -14.69%6.05M | 50.40%32.58M | 38.12%9.33M |
Other non cash items | -9.38%3.05M | 8.03%3.04M | 10.52%3.06M | 32.67%12.07M | 13.22%3.13M | 47.59%3.37M | 43.81%2.81M | 31.64%2.77M | 35.03%9.1M | 34.62%2.76M |
Change In working capital | -110.61%-6.09M | 133.58%3.51M | 151.75%4.11M | 311.61%114.66M | 4,517.76%75.63M | 70.44%57.4M | -440.83%-10.44M | 90.58%-7.93M | 69.83%-54.19M | 96.33%-1.71M |
-Change in receivables | -97.98%296K | 110.38%870K | 48.71%-4.14M | -70.02%2.72M | 232.57%4.52M | -61.29%14.66M | 60.17%-8.38M | 11.31%-8.08M | 207.09%9.06M | -72.97%1.36M |
-Change in inventory | -140.40%-4.64M | -81.29%2.84M | -48.02%7.16M | 4,024.69%106.09M | 337.94%65.62M | 148.54%11.5M | -41.57%15.2M | 132.01%13.78M | 102.10%2.57M | 130.51%14.98M |
-Change in prepaid assets | -87.76%897K | 56.35%-4.43M | -249.17%-1.26M | 119.83%8.63M | 570.28%10.6M | 116.62%7.33M | -36.10%-10.14M | 102.27%844K | 46.01%-43.52M | 87.41%-2.25M |
-Change in payables and accrued expense | -107.52%-1.85M | 196.04%5.02M | 122.95%3.17M | 102.85%512K | 56.37%-5.07M | 274.63%24.61M | -446.13%-5.23M | -321.42%-13.8M | -150.45%-17.97M | -170.51%-11.62M |
-Change in other current liabilities | -14.24%-786K | 57.19%-804K | -21.24%-822K | 24.28%-3.28M | 99.11%-37K | -136.13%-688K | -98.52%-1.88M | 39.08%-678K | -24.73%-4.33M | -265.85%-4.18M |
Cash from discontinued investing activities | ||||||||||
Operating cash flow | -343.51%-22.05M | 65.32%-16.01M | 24.59%-31.81M | 66.33%-107.83M | 42.80%-28.54M | 126.12%9.05M | 34.51%-46.16M | 74.47%-42.18M | -6.26%-320.24M | 54.77%-49.9M |
Investing cash flow | ||||||||||
Cash flow from continuing investing activities | 6.95%-1.18M | 183.06%1.47M | 95.21%-302K | 89.16%-9.49M | 99.10%-151K | 95.59%-1.27M | 91.36%-1.77M | 70.69%-6.3M | 40.65%-87.53M | 60.92%-16.82M |
Net PPE purchase and sale | 14.44%-1.08M | 179.33%1.41M | 74.84%-768K | 91.49%-6.24M | 98.87%-151K | 92.96%-1.27M | 91.33%-1.77M | 85.84%-3.05M | 46.09%-73.3M | 57.85%-13.34M |
Net business purchase and sale | --0 | --0 | --0 | 75.47%-3.25M | --0 | --0 | --0 | ---3.25M | -20.45%-13.25M | 70.45%-3.25M |
Net other investing changes | ---95K | --66K | --466K | ---- | ---- | ---- | ---- | ---- | -89.38%-981K | 40.67%-229K |
Cash from discontinued investing activities | ||||||||||
Investing cash flow | 6.95%-1.18M | 183.06%1.47M | 95.21%-302K | 89.16%-9.49M | 99.10%-151K | 95.59%-1.27M | 91.36%-1.77M | 70.69%-6.3M | 40.65%-87.53M | 60.92%-16.82M |
Financing cash flow | ||||||||||
Cash flow from continuing financing activities | -165.91%-234K | 29.14%-107K | -531.54%-941K | -299.28%-550K | -48.62%-162K | 21.43%-88K | -190.96%-151K | -145.02%-149K | -99.97%276K | -153.96%-109K |
Net issuance payments of debt | -218.87%-169K | 96.34%-3K | -1,448.48%-511K | -6.19%-223K | 5.17%-55K | 51.38%-53K | -4,200.00%-82K | 26.67%-33K | -100.02%-210K | -23.40%-58K |
Proceeds from stock option exercised by employees | -31.58%13K | --0 | -96.32%5K | -89.54%170K | -106.25%-1K | -93.69%19K | -96.76%16K | -83.31%136K | -80.01%1.63M | -97.25%16K |
Net other financing activities | -44.44%-78K | -22.35%-104K | -72.62%-435K | 56.40%-497K | -58.21%-106K | 82.24%-54K | 74.24%-85K | 42.60%-252K | 98.97%-1.14M | 79.82%-67K |
Cash from discontinued financing activities | ||||||||||
Financing cash flow | -165.91%-234K | 29.14%-107K | -531.54%-941K | -299.28%-550K | -48.62%-162K | 21.43%-88K | -190.96%-151K | -145.02%-149K | -99.97%276K | -153.96%-109K |
Net cash flow | ||||||||||
Beginning cash position | -30.06%158.01M | -36.59%173.48M | -36.15%205.94M | -56.01%322.55M | -40.33%232.83M | -50.31%225.93M | -50.06%273.59M | -56.01%322.55M | 360.82%733.29M | -55.98%390.18M |
Current changes in cash | -404.71%-23.46M | 69.54%-14.65M | 32.04%-33.05M | 71.08%-117.87M | 56.82%-28.86M | 112.13%7.7M | 47.05%-48.08M | 73.91%-48.63M | -171.06%-407.5M | 56.37%-66.83M |
Effect of exchange rate changes | 142.73%341K | -296.68%-830K | 282.01%597K | 138.52%1.25M | 345.11%1.96M | 21.22%-798K | 117.72%422K | -134.82%-328K | -568.30%-3.25M | -4,300.00%-798K |
End cash Position | -42.07%134.89M | -30.06%158.01M | -36.59%173.48M | -36.15%205.94M | -36.15%205.94M | -40.33%232.83M | -50.31%225.93M | -50.06%273.59M | -56.01%322.55M | -56.01%322.55M |
Free cash flow | -415.59%-24.07M | 63.89%-17.33M | 30.49%-33M | 69.92%-118.39M | 51.71%-30.54M | 114.49%7.63M | 47.20%-48M | 74.58%-47.48M | 10.01%-393.54M | 55.46%-63.24M |
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 | -- |
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