(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 | |
---|---|---|---|---|---|---|---|---|---|---|
Operating Cash Flow (Indirect Method) | ||||||||||
Cash flow from continuing operating activities | -14.30%45.93M | 33.71%35.71M | 41.97%50.98M | -27.38%152.99M | -34.09%36.78M | -4.89%53.59M | -39.30%26.71M | -34.14%35.91M | -30.48%210.68M | -38.72%55.81M |
Net income from continuing operations | 58.45%30.64M | 22.34%32.18M | 24.77%23.24M | -206.13%-206.49M | -270.31%-270.76M | -38.59%19.34M | -56.48%26.31M | -89.40%18.63M | -44.60%194.56M | -196.10%-73.12M |
Depreciation and amortization | -27.13%8.16M | -30.28%7.46M | -27.80%7.85M | -10.09%41.74M | -20.52%8.97M | -3.97%11.2M | -8.11%10.7M | -8.11%10.87M | -7.31%46.42M | -8.88%11.29M |
Deferred tax | 237.92%2.53M | -169.21%-980K | -87.58%170K | -220.48%-55.92M | -228.42%-56.87M | -16.60%-1.83M | 58.57%1.42M | -51.21%1.37M | 31.21%46.41M | 0.93%44.28M |
Other non cash items | -122.88%-4.12M | -89.40%1.1M | 37.55%16.85M | 266.63%97.43M | -39.90%56.81M | -18.10%17.99M | 162.09%10.38M | 107.74%12.25M | 62.26%-58.47M | 1,047.74%94.52M |
Change In working capital | 30.86%4.98M | 66.55%-8.69M | 95.71%-483K | 114.45%5.45M | 236.82%38.87M | 136.60%3.8M | -49.40%-25.97M | -160.96%-11.26M | -1,360.17%-37.72M | -3.55%-28.41M |
-Change in payables and accrued expense | 242.08%14.36M | 65.84%10.99M | 170.72%5.74M | 66.31%-10.44M | -92.34%1.16M | -24.40%-10.11M | 122.75%6.63M | 8.12%-8.12M | 13.78%-31M | 298.36%15.08M |
-Change in other current assets | -167.44%-9.38M | 39.64%-19.67M | -98.25%-6.22M | 336.45%15.89M | 186.72%37.71M | 713.05%13.91M | -377.65%-32.59M | -111.50%-3.14M | -117.26%-6.72M | -119.30%-43.49M |
Cash from discontinued investing activities | ||||||||||
Operating cash flow | -14.30%45.93M | 33.71%35.71M | 41.97%50.98M | -27.38%152.99M | -34.09%36.78M | -4.89%53.59M | -39.30%26.71M | -34.14%35.91M | -30.48%210.68M | -38.72%55.81M |
Investing cash flow | ||||||||||
Cash flow from continuing investing activities | 22.42%-43.82M | 50.91%-41M | 30.47%-90.88M | -208.63%-401.94M | -46.51%-131.22M | 25.47%-56.48M | -3,838.28%-83.53M | -451.12%-130.72M | -138.32%-130.24M | -430.64%-89.56M |
Net PPE purchase and sale | 14.62%-6.2M | -60.03%-7.39M | -40.45%-6.86M | 101.90%928K | 163.70%17.69M | 20.47%-7.26M | 4.94%-4.62M | 30.99%-4.89M | -153.03%-48.84M | -671.48%-27.77M |
Net investment purchase and sale | 13.86%-55.76M | 46.40%-50.8M | 10.76%-96.33M | -393.99%-402.08M | -68.02%-134.65M | 7.61%-64.73M | -578.70%-94.76M | -320.24%-107.94M | -122.46%-81.39M | -349.05%-80.14M |
Net other investing changes | 16.96%18.14M | 8.43%17.18M | 168.83%12.31M | ---793K | ---14.26M | 354.17%15.51M | 192.89%15.85M | -280.25%-17.89M | ---- | ---- |
Cash from discontinued investing activities | ||||||||||
Investing cash flow | 22.42%-43.82M | 50.91%-41M | 30.47%-90.88M | -208.63%-401.94M | -46.51%-131.22M | 25.47%-56.48M | -3,838.28%-83.53M | -451.12%-130.72M | -138.32%-130.24M | -430.64%-89.56M |
Financing cash flow | ||||||||||
Cash flow from continuing financing activities | 71.64%-9.01M | 4.30%83.7M | -49.45%55.79M | 349.71%268.3M | 229.14%109.43M | -313.00%-31.75M | 313.53%80.25M | 193.52%110.37M | 83.61%-107.45M | 136.53%33.25M |
Net issuance payments of debt | 162.07%14.43M | 2.75%80.1M | -63.69%42.43M | 14,255.58%275.34M | 111.26%103.78M | -149.43%-23.25M | 810.05%77.96M | 240.35%116.86M | 100.76%1.92M | -75.28%49.12M |
Net common stock issuance | ---- | ---- | ---- | --0 | ---- | ---- | ---- | ---- | 77.73%-87.01M | 96.61%-10.25M |
Net other financing activities | -175.56%-23.44M | 57.01%3.61M | 306.08%13.36M | 68.51%-7.04M | 200.55%5.65M | -36.91%-8.51M | 257.05%2.3M | 28.44%-6.48M | -83.13%-22.36M | -144.19%-5.62M |
Cash from discontinued financing activities | ||||||||||
Financing cash flow | 71.64%-9.01M | 4.30%83.7M | -49.45%55.79M | 349.71%268.3M | 229.14%109.43M | -313.00%-31.75M | 313.53%80.25M | 193.52%110.37M | 83.61%-107.45M | 136.53%33.25M |
Net cash flow | ||||||||||
Beginning cash position | 35.57%250.62M | 8.95%172.99M | 10.04%158.36M | -24.12%143.91M | -1.58%144.71M | 19.82%184.87M | -0.90%158.77M | -24.12%143.91M | 0.24%189.65M | -7.08%147.04M |
Current changes in cash | 80.09%-6.9M | 234.65%78.41M | 2.05%15.89M | 171.67%19.35M | 3,034.05%14.99M | -665.66%-34.65M | 445.54%23.43M | 159.30%15.57M | -111.87%-27M | -101.88%-511K |
Effect of exchange rate changes | 165.81%3.63M | -129.26%-780K | -78.31%-1.27M | 73.86%-4.9M | 48.70%-1.34M | -101.61%-5.51M | 126.09%2.67M | 77.60%-710K | -241.88%-18.73M | -161.17%-2.61M |
End cash Position | 70.93%247.35M | 35.57%250.62M | 8.95%172.99M | 10.04%158.36M | 10.04%158.36M | -1.58%144.71M | 19.82%184.87M | -0.90%158.77M | -24.12%143.91M | -24.12%143.91M |
Free cash flow | -14.24%39.73M | 28.20%28.32M | 42.20%44.12M | -24.48%101.28M | 494.50%1.84M | -1.88%46.33M | -43.56%22.09M | -34.61%31.03M | -46.90%134.12M | -99.52%309K |
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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