(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 | -140.94%-3.58M | 152.12%7.29M | -67.79%14.05M | 823.55%42.12M | 216.15%3.77M | 33.64%8.74M | -75.71%-13.99M | 372.43%43.61M | -3.20%4.56M | -17.71%-3.24M |
Net income from continuing operations | 130.14%5.46M | 148.37%3.43M | -17.84%2.73M | -1.39%12.32M | 10.16%5.25M | 6.27%2.37M | -50.52%1.38M | 22.57%3.32M | 35.87%12.5M | 38.15%4.76M |
Depreciation and amortization | 91.92%1.38M | 36.84%962K | 10.16%900K | 26.97%3.16M | 19.48%926K | 3.31%718K | 26.67%703K | 74.95%817K | 24.48%2.49M | 66.31%775K |
Deferred tax | 247.06%25K | 66.57%-111K | -131.95%-77K | 28.41%-383K | -13.17%-275K | 94.44%-17K | -69.39%-332K | 14.76%241K | -334.65%-535K | -452.27%-243K |
Other non cash items | 9,650.00%1.15M | 38.89%-11K | 45.45%-6K | 54.13%-50K | 86.36%-9K | 63.64%-12K | -157.14%-18K | -266.67%-11K | -98.18%-109K | -1,220.00%-66K |
Change In working capital | -351.14%-12.5M | 110.62%1.91M | -75.11%9.63M | 295.44%22.87M | 67.73%-2.87M | 57.25%4.98M | -56.63%-17.95M | 607.26%38.7M | -42.11%-11.7M | -28.58%-8.88M |
-Change in receivables | -2,463.89%-63.9M | 73.79%-684K | 33.25%40.44M | 17.32%-29.62M | -98.07%-60.06M | 123.64%2.7M | -22.54%-2.61M | 276.54%30.35M | -25.37%-35.83M | -25.90%-30.32M |
-Change in inventory | -490.93%-2.76M | -70.64%246K | 159.46%1.82M | 230.90%3.6M | 151.11%1.35M | 268.90%706K | 2,227.78%838K | 151.07%703K | -194.41%-2.75M | -259.29%-2.65M |
-Change in prepaid assets | -125.62%-658K | 297.56%978K | 104.10%115K | -295.72%-1.56M | -713.33%-1.56M | 345.04%2.57M | -79.47%246K | -819.49%-2.81M | 284.88%795K | 166.58%255K |
-Change in payables and accrued expense | 3,325.48%54.93M | 109.11%1.5M | -410.43%-31.02M | 95.48%49.67M | 153.75%57.86M | -110.52%-1.7M | -58.39%-16.48M | 413.98%9.99M | 36.50%25.41M | 42.79%22.8M |
-Change in other current liabilities | -24.81%-166K | 0.75%-132K | 52.63%-63K | 1.59%-495K | -50.00%-96K | 18.40%-133K | 3.62%-133K | 3.62%-133K | 5.81%-503K | 36.00%-64K |
-Change in other working capital | -93.90%51K | -102.11%-4K | -376.76%-1.66M | 7.67%1.26M | -132.79%-360K | 2,433.33%836K | 1,004.76%190K | 834.38%598K | 628.83%1.17M | 3,686.21%1.1M |
Cash from discontinued investing activities | ||||||||||
Operating cash flow | -140.94%-3.58M | 152.12%7.29M | -67.79%14.05M | 823.55%42.12M | 216.15%3.77M | 33.64%8.74M | -75.71%-13.99M | 372.43%43.61M | -3.20%4.56M | -17.71%-3.24M |
Investing cash flow | ||||||||||
Cash flow from continuing investing activities | -1,796.36%-21.9M | 32.71%-1.18M | 7.09%-1.18M | -60.42%-17.67M | -1,217.09%-13.49M | 87.63%-1.16M | -269.47%-1.76M | -617.51%-1.27M | -4,168.60%-11.01M | -135.00%-1.02M |
Net PPE purchase and sale | -6.58%-1.23M | 32.71%-1.18M | 7.09%-1.18M | -99.40%-4.99M | 20.92%-809K | -39.66%-1.16M | -269.47%-1.76M | -617.51%-1.27M | -869.77%-2.5M | -1,404.41%-1.02M |
Net business purchase and sale | ---- | ---- | ---- | -48.96%-12.68M | -1,267,700.00%-12.68M | ---- | ---- | ---- | ---8.51M | ---1K |
Cash from discontinued investing activities | ||||||||||
Investing cash flow | -1,796.36%-21.9M | 32.71%-1.18M | 7.09%-1.18M | -60.42%-17.67M | -1,217.09%-13.49M | 87.63%-1.16M | -269.47%-1.76M | -617.51%-1.27M | -4,168.60%-11.01M | -135.00%-1.02M |
Financing cash flow | ||||||||||
Cash flow from continuing financing activities | -5.23%-1.25M | 46.26%-1.32M | -408.71%-5.55M | -388.54%-8.95M | -318.51%-4.23M | -18.38%-1.19M | -314.46%-2.45M | -13.41%-1.09M | 58.35%-1.83M | -12.72%-1.01M |
Net issuance payments of debt | -30.00%-169K | 4.62%-124K | -3,307.81%-4.36M | -298.34%-3.59M | -2,444.44%-3.21M | -2.36%-130K | -106.30%-130K | ---128K | --1.81M | ---126K |
Net common stock issuance | -27.02%-315K | 71.09%-283K | -101.87%-432K | -160.61%-1.71M | -97.04%-266K | -96.83%-248K | -450.00%-979K | 0.93%-214K | -20.40%-655K | 10.00%-135K |
Cash dividends paid | -1.06%-761K | -0.53%-758K | -0.93%-756K | -0.77%-3.01M | -0.93%-756K | -0.67%-753K | -1.07%-754K | -0.40%-749K | 0.13%-2.99M | -0.27%-749K |
Net other financing activities | 96.30%-2K | ---- | ---- | ---637K | --1K | ---54K | ---- | ---- | ---- | ---- |
Cash from discontinued financing activities | ||||||||||
Financing cash flow | -5.23%-1.25M | 46.26%-1.32M | -408.71%-5.55M | -388.54%-8.95M | -318.51%-4.23M | -18.38%-1.19M | -314.46%-2.45M | -13.41%-1.09M | 58.35%-1.83M | -12.72%-1.01M |
Net cash flow | ||||||||||
Beginning cash position | 10.24%48.36M | -29.43%43.57M | 79.28%36.3M | -30.84%20.25M | 106.96%49.78M | 49.65%43.87M | 66.66%61.74M | -30.84%20.25M | -0.26%29.27M | -19.65%24.05M |
Current changes in cash | -517.92%-26.73M | 126.36%4.8M | -82.26%7.32M | 287.18%15.51M | -164.23%-13.95M | 268.20%6.4M | -149.34%-18.19M | 409.75%41.25M | -15,161.82%-8.28M | -627.00%-5.28M |
Effect of exchange rate changes | 203.29%502K | -101.25%-4K | -116.19%-40K | 173.22%544K | -68.52%463K | 66.74%-486K | 173.39%320K | 177.92%247K | -467.18%-743K | 2,198.44%1.47M |
End cash Position | -55.52%22.14M | 10.24%48.36M | -29.43%43.57M | 79.28%36.3M | 79.28%36.3M | 106.96%49.78M | 49.65%43.87M | 66.66%61.74M | -30.84%20.25M | -30.84%20.25M |
Free cash flow | -163.42%-4.81M | 138.81%6.11M | -69.61%12.87M | 1,703.50%37.13M | 169.35%2.96M | 32.77%7.58M | -86.62%-15.75M | 367.64%42.34M | -53.77%2.06M | -51.10%-4.27M |
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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