(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 | |
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Operating Cash Flow (Indirect Method) | ||||||||||
Cash flow from continuing operating activities | 9.80%12.59M | -4,162.07%-2.36M | -44.48%38.28M | -76.43%8.29M | -51.78%18.47M | -32.13%11.46M | 100.27%58K | 331.12%68.95M | 493.08%35.15M | 876.32%38.3M |
Net income from continuing operations | -115.79%-1.6M | -66.22%2.94M | 324.89%49.41M | 172.78%23.28M | 105.29%7.29M | 308.05%10.14M | 118.48%8.7M | -192.58%-21.97M | -1,313.54%-31.99M | -52.72%3.55M |
Operating gains losses | -1,490.32%-493K | -99.21%18K | -82.78%2.41M | -98.25%160K | -50.00%-6K | -100.73%-31K | 281.30%2.28M | 119.57%13.98M | 6,352.74%9.13M | 98.17%-4K |
Depreciation and amortization | 2.06%4.5M | 4.93%4.47M | -3.03%17.63M | -2.27%4.47M | -2.48%4.49M | -3.56%4.41M | -3.84%4.26M | -1.70%18.18M | -0.89%4.58M | 0.63%4.6M |
Deferred tax | -26.95%488K | 21.41%-367K | -265.86%-20.7M | -252.40%-20.72M | -152.68%-177K | 133.64%668K | -187.78%-467K | 500.58%12.48M | 2,062.19%13.6M | -64.71%336K |
Other non cash items | 0.00%75K | 0.00%76K | -13.43%303K | 0.00%76K | 1.33%76K | -12.79%75K | -32.74%76K | -89.27%350K | -32.74%76K | -34.21%75K |
Change In working capital | 332.64%8.27M | 38.69%-10.16M | -136.44%-14.62M | -101.44%-555K | -78.31%6.06M | -161.54%-3.55M | 48.50%-16.57M | 144.57%40.12M | 331.24%38.6M | 356.80%27.92M |
-Change in receivables | 412.16%6.47M | 34.76%-12.02M | -1.85%18.82M | -5.21%26.89M | -68.09%12.43M | 82.65%-2.07M | 49.11%-18.43M | 181.35%19.17M | 58.62%28.37M | 315.08%38.96M |
-Change in inventory | -163.94%-5M | -112.80%-460K | 508.16%15M | -86.13%1.49M | 180.47%2.1M | 37.09%7.81M | 120.53%3.59M | 92.69%-3.68M | 90.75%10.74M | 86.16%-2.61M |
-Change in prepaid assets | -41.04%237K | -45.69%-3.93M | -630.33%-5.12M | -210.11%-2.81M | -101.73%-20K | 379.17%402K | -3.66%-2.69M | 150.58%966K | 371.03%2.55M | -53.37%1.16M |
-Change in payables and accrued expense | 193.66%10.61M | 417.97%13.8M | -257.67%-33M | -585.85%-17.93M | 122.63%599K | -527.12%-11.33M | -115.50%-4.34M | 393.47%20.93M | 91.92%-2.61M | 27.46%-2.65M |
-Change in other working capital | -348.16%-4.06M | -242.43%-7.55M | -478.19%-10.32M | -1,758.05%-8.19M | -30.44%-9.06M | -88.30%1.63M | 237.40%5.3M | 138.28%2.73M | 94.74%-441K | -3,085.32%-6.94M |
Cash from discontinued investing activities | ||||||||||
Operating cash flow | 9.80%12.59M | -4,162.07%-2.36M | -44.48%38.28M | -76.43%8.29M | -51.78%18.47M | -32.13%11.46M | 100.27%58K | 331.12%68.95M | 493.08%35.15M | 876.32%38.3M |
Investing cash flow | ||||||||||
Cash flow from continuing investing activities | -5.96%-6.21M | 44.02%-1.86M | 0.07%-19.7M | 37.37%-4.5M | -53.93%-6.02M | -16.55%-5.86M | 7.49%-3.32M | -12.21%-19.71M | -16.51%-7.19M | 12.94%-3.91M |
Net PPE purchase and sale | -5.96%-6.21M | -52.33%-5.06M | 0.07%-19.7M | 37.37%-4.5M | -53.93%-6.02M | -16.55%-5.86M | 7.49%-3.32M | -12.21%-19.71M | -16.51%-7.19M | 12.94%-3.91M |
Net business purchase and sale | --0 | --3.2M | ---- | ---- | ---- | --0 | --0 | ---- | ---- | ---- |
Cash from discontinued investing activities | ||||||||||
Investing cash flow | -5.96%-6.21M | 44.02%-1.86M | 0.07%-19.7M | 37.37%-4.5M | -53.93%-6.02M | -16.55%-5.86M | 7.49%-3.32M | -12.21%-19.71M | -16.51%-7.19M | 12.94%-3.91M |
Financing cash flow | ||||||||||
Cash flow from continuing financing activities | -208.23%-13.82M | 14.54%14.18M | 74.59%-12.73M | 64.22%-13.26M | 66.06%-7.36M | 77.29%-4.48M | -56.43%12.38M | -261.53%-50.09M | -348.09%-37.06M | -251.65%-21.69M |
Net issuance payments of debt | -229.16%-13.78M | 61.36%14.22M | 74.65%-10.94M | 74.04%-8.28M | 66.29%-7.28M | 77.46%-4.19M | -69.54%8.81M | -200.36%-43.15M | -296.60%-31.9M | -255.57%-21.6M |
Net other financing activities | 86.87%-39K | -101.21%-43K | 74.20%-1.79M | 5.57%-5.79M | -17.10%727K | 74.66%-297K | 786.90%3.57M | 42.09%-6.94M | -350.51%-6.13M | 4,485.00%877K |
Cash from discontinued financing activities | ||||||||||
Financing cash flow | -208.23%-13.82M | 14.54%14.18M | 74.59%-12.73M | 64.22%-13.26M | 66.06%-7.36M | 77.29%-4.48M | -56.43%12.38M | -261.53%-50.09M | -348.09%-37.06M | -251.65%-21.69M |
Net cash flow | ||||||||||
Beginning cash position | 12.85%46.82M | 18.93%37.85M | -8.96%31.83M | 19.58%46.29M | 48.92%42.44M | 8.57%41.48M | -8.96%31.83M | -30.78%34.96M | 15.21%38.71M | -30.44%28.5M |
Current changes in cash | -763.10%-7.44M | 9.29%9.96M | 785.13%5.85M | -4.20%-9.47M | -59.94%5.09M | 114.23%1.12M | 166.65%9.11M | 94.79%-854K | -5,186.05%-9.09M | 288.60%12.7M |
Effect of exchange rate changes | 78.79%-35K | -282.20%-993K | 107.55%172K | -53.31%1.03M | 50.30%-1.24M | 90.96%-165K | 424.40%545K | -370.67%-2.28M | 44.34%2.2M | -293.21%-2.49M |
End cash Position | -7.30%39.34M | 12.85%46.82M | 18.93%37.85M | 18.93%37.85M | 19.58%46.29M | 48.92%42.44M | 8.57%41.48M | -8.96%31.83M | -8.96%31.83M | 15.21%38.71M |
Free cash flow | 13.82%6.38M | -127.24%-7.42M | -62.26%18.58M | -86.47%3.79M | -63.78%12.45M | -52.75%5.61M | 86.94%-3.26M | 203.69%49.24M | 284.65%27.98M | 6,088.85%34.38M |
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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