(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 | 2.23%54.84M | -21.03%-32.69M | -15.55%63.48M | 120.88%19.02M | -29.64%-82.78M | 146.88%53.64M | -1.09%-27.01M | -2.95%75.17M | -89.97%8.61M | -110.02%-63.86M |
Net income from continuing operations | 62.07%-3.77M | 136.39%1.06M | 64.61%-4.49M | 52.19%-26.48M | -123.35%-937K | 52.97%-9.94M | 85.46%-2.92M | 30.24%-12.69M | 60.18%-55.38M | 123.84%4.01M |
Operating gains losses | 51.62%2.38M | 80.78%-104K | -7.86%-1.22M | -144.95%-2.7M | 60.79%-2.6M | -77.81%1.57M | -111.61%-541K | -225.47%-1.13M | -88.75%6.01M | -291.10%-6.63M |
Depreciation and amortization | 22.39%3.95M | 14.79%3.65M | 1.78%3.59M | -7.40%13.76M | 34.43%3.83M | -32.32%3.23M | -8.84%3.18M | -6.17%3.53M | -20.60%14.86M | -32.62%2.85M |
Other non cash items | 30.43%1.68M | -259.16%-5.92M | -34.06%1.43M | 69.47%8.03M | 233.07%846K | 106.41%1.29M | 78.00%3.72M | 22.81%2.17M | -72.26%4.74M | -98.15%254K |
Change In working capital | -16.74%34.24M | -25.47%-55.27M | -30.86%47.03M | -47.88%-33.72M | -30.38%-98.81M | 195.09%41.12M | -26.39%-44.05M | -7.96%68.03M | -125.16%-22.8M | -94.02%-75.79M |
-Change in receivables | 96.04%-540K | -25.67%4.52M | -26.16%12.77M | 78.24%-6.04M | 6.99%-15.78M | -122.75%-13.64M | 144.12%6.08M | 341.04%17.29M | -216.51%-27.77M | -3,820.61%-16.97M |
-Change in prepaid assets | -19.74%1.48M | -165.56%-851K | 1,003.80%2.14M | -140.01%-1.89M | -29.92%-4.79M | 105.25%1.84M | 185.27%1.3M | -103.35%-237K | 156.97%4.73M | -234.77%-3.69M |
-Change in payables and accrued expense | -43.95%33.33M | 19.33%-38.56M | -28.44%40.06M | -163.78%-10.07M | -51.16%-77.74M | 173.70%59.48M | -33.78%-47.8M | -31.07%55.98M | -86.64%15.79M | -32.44%-51.43M |
-Change in other current assets | -293.62%-2.41M | -8,760.00%-886K | -556.54%-3.04M | -125.15%-1.11M | -178.10%-1.15M | -253.90%-611K | -101.02%-10K | -57.18%665K | -29.26%4.41M | -13.34%1.48M |
-Change in other current liabilities | 9.52%-570K | 42.51%-503K | 53.88%-488K | 30.27%-3M | 58.12%-436K | 40.85%-630K | 18.60%-875K | 5.54%-1.06M | 19.34%-4.3M | -3.48%-1.04M |
-Change in other working capital | 155.34%2.94M | -591.95%-18.99M | 4.44%-4.42M | 25.95%-11.6M | 126.21%1.09M | -179.64%-5.32M | -39.08%-2.74M | 39.56%-4.62M | -37.50%-15.66M | -0.44%-4.14M |
Cash from discontinued investing activities | ||||||||||
Operating cash flow | 2.23%54.84M | -21.03%-32.69M | -15.55%63.48M | 120.88%19.02M | -29.64%-82.78M | 146.88%53.64M | -1.09%-27.01M | -2.95%75.17M | -89.97%8.61M | -110.02%-63.86M |
Investing cash flow | ||||||||||
Cash flow from continuing investing activities | 12,907.79%30.05M | 99.44%55.25M | 140.80%39.35M | 22.54%-69.33M | 99.04%-814K | 112.90%231K | 1,443.45%27.7M | -11,506.38%-96.45M | -3,433.44%-89.5M | -9,593.49%-84.82M |
Capital expenditure reported | -27.21%-2.15M | -52.71%-2.56M | -52.09%-2.26M | -100.69%-6.07M | -69.90%-1.23M | -35.50%-1.69M | -205.46%-1.68M | -190.41%-1.48M | -95.48%-3.03M | -77.59%-721K |
Net PPE purchase and sale | 61.28%-182K | 62.98%-87K | -10.49%-316K | 23.02%-1.1M | 38.01%-106K | 13.92%-470K | 39.43%-235K | 10.63%-286K | -44.67%-1.43M | 63.54%-171K |
Net business purchase and sale | ---- | ---- | ---- | --0 | ---- | ---- | ---- | ---- | ---1.13M | --0 |
Net investment purchase and sale | 1,255.78%32.38M | 95.51%57.9M | 144.28%41.92M | 25.93%-62.16M | 100.62%517K | --2.39M | --29.61M | ---94.68M | ---83.93M | ---83.93M |
Cash from discontinued investing activities | ||||||||||
Investing cash flow | 12,907.79%30.05M | 99.44%55.25M | 140.80%39.35M | 22.54%-69.33M | 99.04%-814K | 112.90%231K | 1,443.45%27.7M | -11,506.38%-96.45M | -3,433.44%-89.5M | -9,593.49%-84.82M |
Financing cash flow | ||||||||||
Cash flow from continuing financing activities | -5,810.56%-124.3M | -5,062.81%-27.21M | -975.15%-14.62M | -136.08%-4.91M | -85.83%-918K | -49.89%-2.1M | -648.96%-527K | -389.21%-1.36M | -104.06%-2.08M | -110.86%-494K |
Net issuance payments of debt | ---120.45M | --0 | --0 | --0 | -98.44%1K | --0 | --0 | 96.77%-1K | --0 | -73.66%64K |
Net common stock issuance | ---2.79M | -4,340.56%-24.04M | ---12.01M | -20.88%1.14M | -11.90%570K | --0 | --567K | --0 | 0.56%1.44M | -7.44%647K |
Proceeds from stock option exercised by employees | --0 | --0 | --0 | -58.77%1.3M | 208.40%367K | 15.19%182K | -79.72%285K | -68.37%463K | -83.02%3.15M | -98.56%119K |
Net other financing activities | 53.57%-1.06M | -129.44%-3.16M | -43.36%-2.61M | -10.21%-7.34M | -40.18%-1.86M | -48.09%-2.29M | 33.83%-1.38M | -6.49%-1.82M | 82.60%-6.66M | 71.65%-1.32M |
Cash from discontinued financing activities | ||||||||||
Financing cash flow | -5,810.56%-124.3M | -5,062.81%-27.21M | -975.15%-14.62M | -136.08%-4.91M | -85.83%-918K | -49.89%-2.1M | -648.96%-527K | -389.21%-1.36M | -104.06%-2.08M | -110.86%-494K |
Net cash flow | ||||||||||
Beginning cash position | 10.57%575.5M | 11.67%579.94M | -9.44%489.2M | -15.09%540.17M | -16.04%568.54M | -22.56%520.49M | -26.99%519.33M | -15.09%540.17M | 25.12%636.16M | 1.12%677.16M |
Current changes in cash | -176.14%-39.42M | -2,847.93%-4.64M | 489.53%88.2M | 33.45%-55.22M | 43.34%-84.51M | 179.33%51.77M | 100.59%169K | -129.66%-22.64M | -161.70%-82.97M | -458.00%-149.17M |
Effect of exchange rate changes | -38.12%-5.13M | -79.49%203K | 41.24%2.54M | 132.63%4.25M | -57.55%5.17M | 72.50%-3.71M | 109.46%990K | 245.51%1.8M | -92.71%-13.01M | --12.18M |
End cash Position | -6.61%530.96M | 10.57%575.5M | 11.67%579.94M | -9.44%489.2M | -9.44%489.2M | -16.04%568.54M | -22.56%520.49M | -26.99%519.33M | -15.09%540.17M | -15.09%540.17M |
Free cash flow | 1.99%52.51M | -22.18%-35.33M | -17.02%60.9M | 184.88%11.85M | -29.91%-84.11M | 158.24%51.48M | -4.58%-28.92M | -4.21%73.4M | -95.01%4.16M | -107.00%-64.75M |
Currency Unit | USD | USD | USD | USD | USD | USD | USD | USD | USD | USD |
Audit Opinions | -- | -- | -- | Unqualified Opinion | -- | -- | -- | -- | Unqualified Opinion with Explanatory Notes | -- |
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