(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 | -6.45%23.48M | -17.06%16.03M | -33.94%12.64M | 3.31%76.53M | -20.79%12.97M | 72.36%25.1M | -45.30%19.33M | 145.16%19.13M | -27.87%74.07M | -28.99%16.38M |
Net income from continuing operations | 60.85%19.85M | 2.27%11.72M | 14.16%14.07M | -86.44%7.82M | -343.79%-28.3M | -18.65%12.34M | -24.92%11.46M | -21.26%12.32M | 9.92%57.69M | 10.91%11.61M |
Operating gains losses | 14.94%-393K | -170.61%-932K | 1,868.29%725K | 1,783.58%51.37M | 163,161.29%50.55M | 41.89%-462K | 262.56%1.32M | 97.10%-41K | 14.92%-3.05M | 95.97%-31K |
Depreciation and amortization | 23.54%2.63M | 21.15%2.69M | 6.57%2.35M | -7.77%8.64M | -5.95%2.09M | -5.46%2.13M | -10.06%2.22M | -9.25%2.21M | 5.14%9.37M | -9.21%2.22M |
Deferred tax | -383.68%-1.5M | -74.89%171K | -540.39%-1.63M | -193.87%-2.44M | -260.57%-3.39M | -39.15%527K | 536.54%681K | -12.83%-255K | 62.94%2.59M | -45.94%2.11M |
Other non cashItems | -1,909.93%-9.67M | 4.90%-2.31M | 80.20%-429K | -16.17%-4.96M | -135.26%-894K | 121.51%534K | -32.62%-2.43M | -606.31%-2.17M | -118.21%-4.27M | -130.18%-380K |
Change in working capital | 55.71%11.16M | 9.46%4.46M | -170.33%-3.57M | 268.72%7.07M | -729.24%-9.25M | 370.02%7.17M | -76.22%4.07M | 144.46%5.08M | -87.92%1.92M | -122.81%-1.12M |
-Change in receivables | 75.41%-556K | 96.00%-36K | 191.72%493K | -63.71%-4.87M | 12.05%-1.88M | -14.31%-2.26M | -7,015.38%-899K | -84.98%169K | -277.81%-2.97M | -256.84%-2.13M |
-Change in payables and accrued expense | 15.75%4.8M | 85.06%1.38M | -964.70%-6M | 132.81%5.77M | 11.45%185K | 187.54%4.15M | 233.15%743K | 105.58%694K | -184.88%-17.58M | -99.18%166K |
-Change in other current assets | 30.96%6.92M | -26.27%3.12M | -54.08%1.94M | -72.53%6.17M | -986.74%-7.56M | 30.24%5.29M | -76.07%4.23M | 4,274.26%4.22M | 445.47%22.47M | 105.13%852K |
Cash from discontinued operating activities | ||||||||||
Operating cash flow | -6.45%23.48M | -17.06%16.03M | -33.94%12.64M | 3.31%76.53M | -20.79%12.97M | 72.36%25.1M | -45.30%19.33M | 145.16%19.13M | -27.87%74.07M | -28.99%16.38M |
Investing cash flow | ||||||||||
Cash flow from continuing investing activities | -218.23%-60.72M | -73.05%23.58M | 128.99%5.29M | 208.40%232.17M | 334.56%111.56M | 690.65%51.35M | 1,314.73%87.5M | 89.00%-18.24M | 32.08%-214.18M | -147.97%-47.56M |
Proceeds payment in interest bearing deposits in bank | ---- | ---- | ---- | --0 | ---- | ---- | ---- | ---- | --0 | ---- |
Net investment purchase and sale | 235.71%52.41M | -35.02%45.9M | -192.75%-13.42M | 1,427.30%267.05M | 712.43%166.34M | -48.71%15.61M | 175.03%70.64M | 114.96%14.47M | 93.56%-20.12M | 212.28%20.47M |
Net proceeds payment for loan | -401.11%-119.02M | 296.96%25.56M | -84.61%-34.75M | 86.56%-24.95M | 7.60%-52.1M | 221.40%39.53M | 170.88%6.44M | 78.51%-18.82M | -18.40%-185.59M | 5.04%-56.38M |
Capital expenditure | ---- | ---- | ---- | -4,583.33%-562K | ---1K | ---- | ---- | ---- | ---12K | ---- |
Net PPE purchase and sale | 28.51%-3.74M | 157.21%1.43M | 54.11%-2.01M | -364.92%-15.41M | -46.83%-3.31M | -1,156.97%-5.23M | -550.13%-2.5M | -1,586.87%-4.37M | 34.71%-3.32M | -203.50%-2.26M |
Net business purchase and sale | ---- | ---- | --60.91M | --0 | ---- | ---- | ---- | --0 | -123.74%-41.27M | -110.54%-18.33M |
Net other investing changes | 380.59%9.63M | -10.20%11.6M | 42.68%-5.46M | -83.27%6.04M | -92.89%635K | -77.81%2M | 2,797.70%12.92M | -151.10%-9.52M | 338.47%36.12M | 145.26%8.94M |
Cash from discontinued investing activities | ||||||||||
Investing cash flow | -218.23%-60.72M | -73.05%23.58M | 128.99%5.29M | 208.40%232.17M | 334.56%111.56M | 690.65%51.35M | 1,314.73%87.5M | 89.00%-18.24M | 32.08%-214.18M | -147.97%-47.56M |
Financing cash flow | ||||||||||
Cash flow from continuing financing activities | 108.01%12.46M | 81.84%-14.36M | -211.69%-162.01M | -120.73%-34.03M | 380.56%55.55M | -605.40%-155.53M | -441.90%-79.09M | 1,329.65%145.05M | -108.03%-15.42M | -332.18%-19.8M |
Change in federal funds and securities sold for repurchase | 87.87%-615K | -1,662.20%-5.78M | -522.39%-8.59M | 69.61%-2.9M | 502.18%3.88M | 4.48%-5.07M | -107.21%-328K | 82.32%-1.38M | -265.27%-9.53M | -136.32%-965K |
Increase decrease in deposit | 85.90%-20.98M | 47.17%-29.6M | -375.52%-124.24M | 9.30%-96.44M | 84.67%63.3M | -128.44%-148.8M | -59.35%-56.03M | 211.87%45.1M | -146.53%-106.33M | 156.87%34.28M |
Net issuance payments of debt | --37.95M | 370.67%30.38M | -117.86%-20.07M | -27.17%101.14M | --0 | --0 | -137.41%-11.22M | 124.72%112.36M | 667.42%138.86M | -227.14%-47.14M |
Net commonstock issuance | --0 | 37.59%-5.1M | 29.55%-6.76M | 46.06%-17.9M | 95.14%-265K | 103.20%132K | 27.15%-8.17M | 22.52%-9.59M | -77.81%-33.19M | -7.38%-5.46M |
Cash dividends paid | -21.44%-1.88M | -14.09%-1.8M | -17.17%-1.92M | -18.87%-6.61M | -15.53%-1.85M | -19.78%-1.54M | -19.48%-1.58M | -21.36%-1.64M | -384.25%-5.56M | -39.51%-1.6M |
Proceeds from stock option exercised by employees | 503.81%2.06M | --263K | -13.32%397K | -64.79%987K | -86.87%188K | -61.38%341K | --0 | 3.85%458K | -36.53%2.8M | 25.95%1.43M |
Net other financing activities | -593.89%-4.09M | -54.37%-2.72M | -234.15%-822K | -397.29%-12.3M | -2,720.93%-9.7M | -134.66%-589K | -18.07%-1.76M | 36.10%-246K | 1.55%-2.47M | 68.09%-344K |
Cash from discontinued financing activities | ||||||||||
Financing cash flow | 108.01%12.46M | 81.84%-14.36M | -211.69%-162.01M | -120.73%-34.03M | 380.56%55.55M | -605.40%-155.53M | -441.90%-79.09M | 1,329.65%145.05M | -108.03%-15.42M | -332.18%-19.8M |
Net cash flow | ||||||||||
Beginning cash position | -6.41%260.27M | -6.13%235.02M | 263.02%379.1M | -59.83%104.43M | 28.06%199.02M | 168.48%278.1M | 178.03%250.37M | -59.83%104.43M | -7.39%259.95M | 9.20%155.41M |
Current changes in cash | 68.66%-24.78M | -8.96%25.25M | -198.73%-144.08M | 276.61%274.67M | 453.21%180.08M | -252.58%-79.08M | 104.91%27.73M | 185.89%145.94M | -649.74%-155.53M | -143.34%-50.99M |
End cash position | 18.32%235.48M | -6.41%260.27M | -6.13%235.02M | 263.02%379.1M | 263.02%379.1M | 28.06%199.02M | 168.48%278.1M | 178.03%250.37M | -59.83%104.43M | -59.83%104.43M |
Free cash flow | 2.00%19.69M | -9.75%15.18M | -27.83%10.63M | -14.44%60.39M | -32.29%9.54M | 37.08%19.31M | -51.82%16.82M | 96.45%14.72M | -27.68%70.58M | -36.90%14.09M |
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 with Explanatory Notes | -- | -- | -- | -- | Unqualified Opinion with Explanatory Notes | -- |
No Data