(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 | 20.03%41.46M | 13.71%48.93M | -48.27%27.18M | -48.27%27.18M | -40.86%33.33M | -49.49%34.54M | 124.25%43.03M | 57.66%52.54M | 57.66%52.54M | 27.53%56.36M |
-Cash and cash equivalents | 14.07%30.6M | 12.73%36.41M | -36.14%21.46M | -36.14%21.46M | -19.87%32.34M | -42.99%26.83M | 900.65%32.3M | 143.66%33.6M | 143.66%33.6M | 60.43%40.36M |
-Short-term investments | 40.77%10.86M | 16.66%12.51M | -69.77%5.73M | -69.77%5.73M | -93.78%996K | -63.84%7.72M | -32.80%10.72M | -3.04%18.94M | -3.04%18.94M | -15.94%16M |
Receivables | -32.64%8.07M | 8.06%5.22M | 7.11%5.81M | 7.11%5.81M | -9.72%7.04M | 104.11%11.98M | -18.67%4.83M | -35.15%5.43M | -35.15%5.43M | 89.78%7.8M |
-Accounts receivable | -32.64%8.07M | 8.06%5.22M | 7.11%5.81M | 7.11%5.81M | -9.72%7.04M | 104.11%11.98M | -18.67%4.83M | -14.78%5.43M | -14.78%5.43M | 89.78%7.8M |
-Loans receivable | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | --0 |
Other current assets | -17.91%3.65M | -14.70%3.8M | -33.81%4.09M | -33.81%4.09M | -27.23%4.58M | -4.51%4.45M | -0.71%4.46M | 166.49%6.17M | 166.49%6.17M | 146.71%6.29M |
Total current assets | 4.34%53.18M | 10.77%57.94M | -42.19%37.08M | -42.19%37.08M | -36.19%44.95M | -35.41%50.97M | 76.66%52.31M | 45.74%64.14M | 45.74%64.14M | 38.54%70.45M |
Non current assets | ||||||||||
Net PPE | -14.62%5.1M | -18.29%5.38M | -21.42%5.59M | -21.42%5.59M | -26.50%5.76M | -28.49%5.98M | -24.11%6.58M | 70.30%7.11M | 70.30%7.11M | 164.75%7.84M |
-Gross PPE | -33.87%12.04M | -17.94%15.18M | -18.39%15.28M | -18.39%15.28M | -23.03%15.41M | -12.41%18.2M | -9.50%18.5M | 20.58%18.73M | 20.58%18.73M | 43.01%20.02M |
-Accumulated depreciation | 43.29%-6.93M | 17.75%-9.81M | 16.54%-9.7M | 16.54%-9.7M | 20.80%-9.64M | 1.59%-12.22M | -1.25%-11.92M | -2.30%-11.62M | -2.30%-11.62M | -10.33%-12.18M |
Goodwill and other intangible assets | -15.36%33.85M | -13.56%35.3M | -10.39%37.1M | -10.39%37.1M | -7.75%37.3M | -9.75%39.99M | -15.37%40.83M | 435.91%41.4M | 435.91%41.4M | 423.20%40.43M |
-Goodwill | 0.22%8.59M | 1.67%8.58M | 5.01%8.64M | 5.01%8.64M | 30.03%8.32M | 35.46%8.57M | 31.55%8.44M | 638.69%8.23M | 638.69%8.23M | 474.60%6.4M |
-Other intangible assets | -19.60%25.26M | -17.52%26.72M | -14.21%28.46M | -14.21%28.46M | -14.85%28.98M | -17.28%31.42M | -22.56%32.4M | 401.74%33.17M | 401.74%33.17M | 414.54%34.03M |
Investments and advances | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | --0 |
Other non current assets | -10.81%1.24M | -15.51%1.11M | -30.26%786K | -30.26%786K | -30.97%827K | 18.43%1.39M | 3.23%1.31M | 67.46%1.13M | 67.46%1.13M | -43.28%1.2M |
Total non current assets | -15.13%40.19M | -14.25%41.78M | -12.42%43.47M | -12.42%43.47M | -11.28%43.89M | -12.05%47.35M | -23.75%48.72M | 137.89%49.64M | 137.89%49.64M | 134.47%49.47M |
Total assets | -5.04%93.37M | -1.29%99.72M | -29.20%80.55M | -29.20%80.55M | -25.92%88.84M | -25.94%98.32M | 8.05%101.03M | 75.38%113.78M | 75.38%113.78M | 66.67%119.92M |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Current deferred liabilities | -40.67%4.81M | 61.03%5.26M | 41.21%5.85M | 41.21%5.85M | 54.75%7.32M | 126.22%8.1M | -24.36%3.26M | 38.68%4.15M | 38.68%4.15M | 120.27%4.73M |
Current liabilities | -20.87%10.5M | 12.41%9.36M | 23.59%12.53M | 23.59%12.53M | 4.45%13.52M | 19.16%13.26M | -45.21%8.32M | 31.34%10.13M | 31.34%10.13M | 102.85%12.95M |
Non current liabilities | ||||||||||
Long term debt and capital lease obligation | -7.40%5.62M | -1.51%5.81M | 0.28%5.99M | 0.28%5.99M | 1.97%6.17M | -0.88%6.07M | -5.84%5.9M | 481.42%5.98M | 481.42%5.98M | 125.36%6.05M |
-Long term capital lease obligation | -7.40%5.62M | -1.51%5.81M | 0.28%5.99M | 0.28%5.99M | 1.97%6.17M | -0.88%6.07M | -5.84%5.9M | 481.42%5.98M | 481.42%5.98M | 125.36%6.05M |
Other non current liabilities | -74.65%90K | -44.06%80K | 39.47%106K | 39.47%106K | 178.13%267K | 57.78%355K | -72.45%143K | -89.89%76K | -89.89%76K | --96K |
Total non current liabilities | -11.12%5.71M | -2.51%5.89M | 0.78%6.1M | 0.78%6.1M | 4.72%6.44M | 1.20%6.42M | -10.93%6.04M | 240.06%6.05M | 240.06%6.05M | 128.94%6.15M |
Total liabilities | -17.69%16.2M | 6.13%15.25M | 15.06%18.63M | 15.06%18.63M | 4.54%19.96M | 12.64%19.68M | -34.62%14.37M | 70.46%16.19M | 70.46%16.19M | 110.58%19.09M |
Shareholders'equity | ||||||||||
Share capital | 1.43%71K | 1.43%71K | 0.00%70K | 0.00%70K | 0.00%70K | 0.00%70K | 2.94%70K | 4.48%70K | 4.48%70K | 4.48%70K |
-common stock | 5.00%21K | 5.00%21K | 0.00%20K | 0.00%20K | 0.00%20K | 0.00%20K | 11.11%20K | 17.65%20K | 17.65%20K | 17.65%20K |
-Preferred stock | 0.00%50K | 0.00%50K | 0.00%50K | 0.00%50K | 0.00%50K | 0.00%50K | 0.00%50K | 0.00%50K | 0.00%50K | 0.00%50K |
Retained earnings | -14.08%-331.38M | -15.10%-322.11M | -17.29%-311.77M | -17.29%-311.77M | -18.88%-301.2M | -21.83%-290.47M | -25.05%-279.85M | -29.03%-265.81M | -29.03%-265.81M | -28.11%-253.36M |
Paid-in capital | 10.60%411.33M | 10.69%409.47M | 2.31%376.19M | 2.31%376.19M | 3.54%373.84M | 4.02%371.89M | 24.82%369.93M | 40.70%367.69M | 40.70%367.69M | 38.56%361.06M |
Gains losses not affecting retained earnings | -0.18%-2.86M | 14.91%-2.97M | 41.23%-2.56M | 41.23%-2.56M | 44.69%-3.84M | 26.26%-2.85M | -212.18%-3.49M | ---4.36M | ---4.36M | ---6.94M |
Total stockholders'equity | -1.87%77.17M | -2.52%84.47M | -36.54%61.93M | -36.54%61.93M | -31.68%68.88M | -31.78%78.64M | 21.16%86.66M | 76.22%97.59M | 76.22%97.59M | 60.34%100.83M |
Total equity | -1.87%77.17M | -2.52%84.47M | -36.54%61.93M | -36.54%61.93M | -31.68%68.88M | -31.78%78.64M | 21.16%86.66M | 76.22%97.59M | 76.22%97.59M | 60.34%100.83M |
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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