(Q2)Jun 30, 2024 | (Q1)Mar 31, 2024 | (FY)Dec 31, 2023 | (Q2)Jun 30, 2023 | (Q1)Mar 31, 2023 | (FY)Dec 31, 2022 | (Q4)Dec 31, 2022 | (Q3)Sep 30, 2022 | (Q2)Jun 30, 2022 | (Q1)Mar 31, 2022 | |
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Operating Cash Flow (Indirect Method) | ||||||||||
Cash flow from continuing operating activities | -73.46%14.72M | 5.12%17.23M | 13.75%163.1M | 147.23%55.45M | -62.73%16.39M | -60.67%143.39M | -49.03%33.98M | -71.47%42.99M | -73.64%22.43M | -29.18%43.99M |
Net income from continuing operations | -278.35%-53.4M | -127.88%-6.83M | -8.50%94.3M | 24.18%29.94M | -53.32%24.5M | -49.14%103.07M | -62.68%22.47M | -84.84%4M | -71.29%24.11M | 63.73%52.49M |
Operating gains losses | 507.50%65.33M | 330.80%19.5M | -59.33%-36.8M | -2,281.09%-16.03M | 57.55%-8.45M | -213.90%-23.1M | -769.48%-4.02M | -99.60%90K | 102.39%735K | -169.53%-19.9M |
Depreciation and amortization | 10.15%22.29M | 41.14%23.3M | 40.79%83.02M | 23.70%20.24M | 43.48%16.51M | 24.70%58.97M | 19.64%16.36M | 20.52%14.74M | 65.75%16.36M | -0.06%11.5M |
Deferred tax | -243.20%-8.27M | -139.71%-1.85M | -22.60%18.05M | 9.28%5.77M | -45.78%4.67M | -32.00%23.32M | 66.52%7.54M | -68.91%1.89M | -66.69%5.28M | 9.92%8.61M |
Other non cash items | -33.36%-3.49M | -109.84%-223K | 375.22%9.24M | -925.10%-2.61M | 42.40%2.27M | -104.39%-3.36M | 144.23%4.21M | -109.50%-8.91M | 94.15%-255K | 148.89%1.59M |
Change In working capital | -265.10%-23.8M | 25.86%-20.57M | 53.56%-8.37M | 170.72%14.42M | -186.48%-27.75M | -19.41%-18.03M | -3,782.64%-14.99M | 382.51%27.03M | -275.49%-20.38M | 42.20%-9.69M |
-Change in receivables | -165.09%-8.23M | 64.67%-3.02M | 469.95%6.92M | 166.74%12.64M | -209.50%-8.54M | 84.65%-1.87M | -108.79%-7.06M | 297.93%16.32M | -262.78%-18.93M | 164.01%7.8M |
-Change in inventory | 36.58%-2.9M | 397.22%3.63M | -208.31%-5.27M | -1,274.10%-4.58M | 49.02%-1.22M | 26.49%-1.71M | 153.01%1.49M | -404.35%-1.19M | 132.50%390K | -286.09%-2.4M |
-Change in payables and accrued expense | -191.20%-8.92M | 3.33%-14.55M | 372.48%1.67M | 2,563.49%9.78M | -18.27%-15.05M | -107.97%-614K | -146.78%-5.53M | 282.36%17.28M | -83.25%367K | -17.65%-12.73M |
-Change in other current assets | -9.89%-3.76M | -126.12%-6.63M | 15.48%-11.69M | -54.90%-3.42M | -24.02%-2.93M | -66.76%-13.84M | 35.34%-3.89M | 13.77%-5.37M | -118.85%-2.21M | -147.67%-2.37M |
Cash from discontinued investing activities | ||||||||||
Operating cash flow | -73.46%14.72M | 5.12%17.23M | 13.75%163.1M | 147.23%55.45M | -62.73%16.39M | -60.67%143.39M | -49.03%33.98M | -71.47%42.99M | -73.64%22.43M | -29.18%43.99M |
Investing cash flow | ||||||||||
Cash flow from continuing investing activities | 51.01%-74.57M | -444.50%-107.06M | 27.63%-308.17M | -163.92%-152.21M | 120.02%31.08M | -137.18%-425.81M | -116.81%-68.77M | -67.78%-144.11M | -61.53%-57.67M | -492.30%-155.25M |
Net PPE purchase and sale | 40.69%-75.24M | -24.81%-107.79M | -55.72%-460.65M | -117.30%-126.86M | -56.84%-86.36M | -62.69%-295.82M | -51.17%-87.04M | -54.16%-95.34M | -61.83%-58.38M | -109.07%-55.06M |
Net investment purchase and sale | 102.63%667K | -99.38%731K | 217.31%152.48M | -3,670.14%-25.35M | 217.22%117.44M | -5,739.35%-129.99M | -29.36%18.27M | -102.81%-48.78M | 89.84%710K | -79,611.11%-100.18M |
Cash from discontinued investing activities | ||||||||||
Investing cash flow | 51.01%-74.57M | -444.50%-107.06M | 27.63%-308.17M | -163.92%-152.21M | 120.02%31.08M | -137.18%-425.81M | -116.81%-68.77M | -67.78%-144.11M | -61.53%-57.67M | -492.30%-155.25M |
Financing cash flow | ||||||||||
Cash flow from continuing financing activities | 421.83%53.8M | 289.08%30.07M | -76.24%77.75M | 947.66%10.31M | -104.65%-15.9M | 383.55%327.3M | -97.97%61K | 84.54%-15.89M | 117.29%984K | 3,543.86%342.15M |
Net issuance payments of debt | 701.19%49.21M | 1,318.33%44.41M | -101.41%-4.77M | 1,143.32%6.14M | -101.06%-3.65M | 400.52%338.42M | -252.07%-2.72M | 97.45%-2.6M | 111.53%494K | 4,328.74%343.25M |
Net common stock issuance | ---- | ---- | --104.33M | ---- | ---- | --0 | ---- | ---- | ---- | ---- |
Cash dividends paid | --0 | --0 | --0 | --0 | --0 | --0 | --0 | --0 | --0 | --0 |
Proceeds from stock option exercised by employees | 27.44%6.79M | -89.91%298K | 26.72%11.16M | 428.70%5.32M | 630.69%2.95M | 58.65%8.81M | 90.41%5.44M | 297.56%1.95M | -7.19%1.01M | -63.80%404K |
Net other financing activities | 11.39%-817K | 32.67%-1.29M | -21.14%-5.5M | ---922K | -112.69%-1.91M | -8.04%-4.54M | -63.26%-2.38M | -20.56%-774K | ---- | ---898K |
Cash from discontinued financing activities | ||||||||||
Financing cash flow | 421.83%53.8M | 289.08%30.07M | -76.24%77.75M | 947.66%10.31M | -104.65%-15.9M | 383.55%327.3M | -97.97%61K | 84.54%-15.89M | 117.29%984K | 3,543.86%342.15M |
Net cash flow | ||||||||||
Beginning cash position | -75.37%51.69M | -37.12%111.74M | 36.56%177.7M | -42.56%209.91M | 36.56%177.7M | 108.18%130.13M | 126.93%210.24M | 139.22%329.29M | 332.12%365.47M | 108.18%130.13M |
Current changes in cash | 92.99%-6.06M | -289.30%-59.76M | -249.99%-67.32M | -152.34%-86.45M | -86.33%31.57M | -35.55%44.88M | -191.53%-34.73M | -208.01%-117.02M | -178.38%-34.26M | 789.18%230.89M |
Effect of exchange rate changes | -193.17%-859K | -144.98%-287K | -49.81%1.35M | 148.15%922K | -85.67%638K | 233.90%2.69M | 571.18%2.19M | 71.03%-2.03M | -120.44%-1.92M | 214.13%4.45M |
End cash Position | -64.00%44.77M | -75.37%51.69M | -37.12%111.74M | -62.23%124.38M | -42.56%209.91M | 36.56%177.7M | 36.56%177.7M | 126.93%210.24M | 139.22%329.29M | 332.12%365.47M |
Free cash flow | 15.25%-60.52M | -29.43%-90.56M | -95.20%-297.55M | -98.62%-71.41M | -531.60%-69.97M | -183.41%-152.43M | -683.84%-53.06M | -158.90%-52.34M | -173.33%-35.95M | -130.97%-11.08M |
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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