(Q3)Sep 28, 2024 | (Q2)Jun 29, 2024 | (Q1)Mar 30, 2024 | (FY)Dec 30, 2023 | (Q4)Dec 30, 2023 | (Q3)Sep 30, 2023 | (Q2)Jul 1, 2023 | (Q1)Apr 1, 2023 | (FY)Dec 31, 2022 | (Q4)Dec 31, 2022 | |
---|---|---|---|---|---|---|---|---|---|---|
Assets | ||||||||||
Current assets | ||||||||||
Cash, cash equivalents and short term investments | -69.47%81.15M | -29.50%179.52M | -39.23%150.05M | -34.66%149.9M | -34.66%149.9M | 3.75%265.82M | 0.10%254.65M | -21.53%246.91M | -24.98%229.43M | -24.98%229.43M |
-Cash and cash equivalents | -69.47%81.15M | -29.50%179.52M | -39.23%150.05M | -34.66%149.9M | -34.66%149.9M | 3.75%265.82M | 0.10%254.65M | -21.53%246.91M | -24.98%229.43M | -24.98%229.43M |
Receivables | -38.94%46.8M | -22.60%61.07M | -7.21%74.27M | 8.71%86.85M | 8.71%86.85M | 20.08%76.64M | 23.72%78.9M | 28.60%80.05M | 43.44%79.89M | 43.44%79.89M |
-Accounts receivable | -45.19%33.94M | -26.81%45.98M | -8.00%59.18M | 9.99%71.42M | 9.99%71.42M | 22.65%61.92M | 25.27%62.81M | 12.81%64.32M | 31.14%64.93M | 31.14%64.93M |
-Other receivables | -13.61%13.06M | -0.55%16.45M | -4.66%15.45M | 1.74%15.75M | 1.74%15.75M | 8.07%15.12M | 15.39%16.54M | 186.36%16.2M | 131.53%15.48M | 131.53%15.48M |
-Recievables adjustments allowances | 48.98%-200K | -201.78%-1.36M | 26.36%-352K | 39.11%-316K | 39.11%-316K | 39.13%-392K | 35.90%-450K | -10.90%-478K | -3.39%-519K | -3.39%-519K |
Inventory | -27.36%87.59M | -24.75%90.96M | -4.02%118.56M | -2.64%119.91M | -2.64%119.91M | -1.19%120.58M | -6.66%120.87M | -3.04%123.52M | -0.41%123.16M | -0.41%123.16M |
Other current assets | -23.91%28.17M | -17.56%32.86M | 0.06%36.03M | -3.26%40.01M | -3.26%40.01M | 5.79%37.02M | 21.46%39.87M | 27.20%36M | 40.64%41.36M | 40.64%41.36M |
Total current assets | -51.26%243.72M | -26.28%364.4M | -22.11%378.91M | -16.29%396.67M | -16.29%396.67M | 4.82%500.06M | 2.88%494.29M | -8.66%486.48M | -7.92%473.84M | -7.92%473.84M |
Non current assets | ||||||||||
Net PPE | 1.76%774.16M | 0.74%771.5M | 2.20%768.1M | 3.57%769.14M | 3.57%769.14M | 3.05%760.8M | 5.93%765.8M | 5.51%751.57M | 5.88%742.6M | 5.88%742.6M |
-Gross PPE | 1.76%774.16M | 0.74%771.5M | 2.20%768.1M | 5.87%1.3B | 5.87%1.3B | 3.05%760.8M | 5.93%765.8M | 5.51%751.57M | 10.67%1.23B | 10.67%1.23B |
-Accumulated depreciation | ---- | ---- | ---- | -9.40%-528.39M | -9.40%-528.39M | ---- | ---- | ---- | -18.92%-482.97M | -18.92%-482.97M |
Goodwill and other intangible assets | -1.26%966.54M | -6.82%977.48M | -6.95%977.87M | -7.07%978.36M | -7.07%978.36M | -7.17%978.91M | -0.70%1.05B | -0.70%1.05B | -0.69%1.05B | -0.69%1.05B |
-Goodwill | 0.00%717.54M | -7.72%717.54M | -7.72%717.54M | -7.72%717.54M | -7.72%717.54M | -7.72%717.54M | 0.00%777.61M | 0.00%777.61M | 0.00%777.61M | 0.00%777.61M |
-Other intangible assets | -4.73%249M | -4.24%259.93M | -4.76%260.33M | -5.23%260.82M | -5.23%260.82M | -5.63%261.36M | -2.65%271.45M | -2.62%273.33M | -2.60%275.22M | -2.60%275.22M |
Other non current assets | 33.90%35.71M | 32.85%32.92M | 30.41%30.49M | 28.91%28.34M | 28.91%28.34M | 22.09%26.67M | 34.11%24.78M | 4.99%23.38M | 29.31%21.98M | 29.31%21.98M |
Total non current assets | 0.57%1.78B | -3.14%1.78B | -2.71%1.78B | -2.29%1.78B | -2.29%1.78B | -2.66%1.77B | 2.32%1.84B | 1.84%1.83B | 2.19%1.82B | 2.19%1.82B |
Total assets | -10.87%2.02B | -8.04%2.15B | -6.79%2.16B | -5.18%2.17B | -5.18%2.17B | -1.10%2.27B | 2.44%2.33B | -0.56%2.31B | -0.08%2.29B | -0.08%2.29B |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Payables | 2.72%74.43M | 0.82%75.21M | -12.73%84.14M | 5.98%78.56M | 5.98%78.56M | -15.27%72.46M | -10.09%74.6M | 22.89%96.42M | 1.03%74.12M | 1.03%74.12M |
-accounts payable | -37.09%39.56M | -22.05%49.97M | -18.53%60.8M | 3.49%67.56M | 3.49%67.56M | -8.84%62.88M | -8.42%64.11M | 7.51%74.62M | 1.47%65.28M | 1.47%65.28M |
-Total tax payable | 7,268.18%1.62M | 172.91%3.03M | 1.03%12.75M | 1,708.74%1.86M | 1,708.74%1.86M | -99.70%22K | -71.24%1.11M | --12.62M | --103K | --103K |
-Other payable | 248.02%33.25M | 136.77%22.21M | 15.49%10.6M | 4.52%9.14M | 4.52%9.14M | 4.89%9.55M | 3.01%9.38M | 1.52%9.18M | -3.21%8.74M | -3.21%8.74M |
Current accrued expenses | -52.19%24.3M | -15.89%36.19M | -48.01%19.51M | 0.81%40.58M | 0.81%40.58M | 24.77%50.83M | 10.57%43.03M | -14.34%37.54M | -8.97%40.25M | -8.97%40.25M |
Current provisions | -41.20%4.84M | -46.88%4.88M | 14.16%9.95M | 18.46%9.09M | 18.46%9.09M | 20.35%8.23M | 18.45%9.19M | -6.49%8.72M | 1.59%7.68M | 1.59%7.68M |
Current debt and capital lease obligation | 103.95%189.93M | 386.12%399.88M | 28.37%96.62M | 17.89%95.87M | 17.89%95.87M | 32.65%93.13M | 6.02%82.26M | -0.01%75.26M | 25.25%81.32M | 25.25%81.32M |
-Current debt | 849.54%100.99M | 4,071.84%312.89M | --10.33M | 153.32%10.48M | 153.32%10.48M | --10.64M | --7.5M | ---- | --4.14M | --4.14M |
-Current capital lease obligation | 7.81%88.93M | 16.36%86.99M | 14.65%86.29M | 10.63%85.39M | 10.63%85.39M | 17.50%82.49M | -3.65%74.76M | -0.01%75.26M | 18.88%77.19M | 18.88%77.19M |
Current deferred liabilities | -1.56%102.51M | -0.59%103.31M | 0.70%109.45M | 7.29%110.98M | 7.29%110.98M | 7.85%104.14M | 5.37%103.92M | -0.16%108.69M | 8.63%103.44M | 8.63%103.44M |
Current liabilities | 14.08%426.12M | 82.57%663.16M | 3.66%375.01M | 15.52%397.7M | 15.52%397.7M | 10.96%373.53M | 2.67%363.23M | 4.74%361.76M | 0.13%344.26M | 0.13%344.26M |
Non current liabilities | ||||||||||
Long term debt and capital lease obligation | -30.80%641.52M | -43.74%526.48M | -11.41%828.71M | -10.19%827.59M | -10.19%827.59M | -0.21%927M | 2.35%935.86M | 3.29%935.39M | 1.45%921.5M | 1.45%921.5M |
-Long term debt | -54.21%252.85M | -74.08%143.93M | -17.97%448.62M | -19.99%450.77M | -19.99%450.77M | 1.22%552.19M | 1.90%555.18M | 0.49%546.86M | 3.65%563.39M | 3.65%563.39M |
-Long term capital lease obligation | 3.70%388.67M | 0.49%382.55M | -2.17%380.09M | 5.22%376.81M | 5.22%376.81M | -2.25%374.81M | 3.02%380.68M | 7.51%388.53M | -1.82%358.11M | -1.82%358.11M |
Non current deferred liabilities | -10.45%103.67M | -10.49%104.88M | -6.83%101.94M | -5.31%109.34M | -5.31%109.34M | 4.99%115.77M | 7.00%117.17M | -4.58%109.41M | 8.92%115.47M | 8.92%115.47M |
Other non current liabilities | -9.81%8.83M | -9.50%8.38M | -7.48%8.4M | -4.89%8.47M | -4.89%8.47M | 9.40%9.79M | 2.41%9.26M | -0.60%9.08M | 4.88%8.9M | 4.88%8.9M |
Total non current liabilities | -28.36%754.01M | -39.78%639.73M | -10.90%939.04M | -9.61%945.39M | -9.61%945.39M | 0.42%1.05B | 2.85%1.06B | 2.38%1.05B | 2.20%1.05B | 2.20%1.05B |
Total liabilities | -17.25%1.18B | -8.60%1.3B | -7.18%1.31B | -3.38%1.34B | -3.38%1.34B | 2.98%1.43B | 2.80%1.43B | 2.97%1.42B | 1.68%1.39B | 1.68%1.39B |
Shareholders'equity | ||||||||||
Share capital | 0.95%854K | 0.83%853K | 0.83%852K | 0.71%848K | 0.71%848K | 0.59%846K | 0.59%846K | 0.48%845K | 0.48%842K | 0.48%842K |
-common stock | 0.95%854K | 0.83%853K | 0.83%852K | 0.71%848K | 0.71%848K | 0.59%846K | 0.59%846K | 0.48%845K | 0.48%842K | 0.48%842K |
Retained earnings | -5.87%254.71M | -23.58%263.18M | -21.40%266.3M | -20.56%254.62M | -20.56%254.62M | -17.94%270.6M | 8.21%344.4M | 9.80%338.79M | 15.13%320.52M | 15.13%320.52M |
Paid-in capital | 2.36%801.85M | 2.45%796.81M | 2.57%791.71M | 2.85%788.97M | 2.85%788.97M | 2.65%783.36M | 2.40%777.76M | 2.16%771.87M | 2.22%767.11M | 2.22%767.11M |
Less: Treasury stock | 1.67%217.41M | 1.67%217.37M | 1.65%217.32M | 15.26%214.59M | 15.26%214.59M | 15.29%213.84M | 15.29%213.8M | 90.14%213.79M | 82.90%186.18M | 82.90%186.18M |
Gains losses not affecting retained earnings | --0 | 92.01%-64K | 76.89%-229K | 64.46%-419K | 64.46%-419K | 55.47%-611K | 48.72%-801K | 43.44%-991K | 39.23%-1.18M | 39.23%-1.18M |
Total stockholders'equity | -0.04%840M | -7.16%843.41M | -6.18%841.32M | -7.96%829.42M | -7.96%829.42M | -7.34%840.35M | 1.88%908.41M | -5.68%896.73M | -2.69%901.11M | -2.69%901.11M |
Total equity | -0.04%840M | -7.16%843.41M | -6.18%841.32M | -7.96%829.42M | -7.96%829.42M | -7.34%840.35M | 1.88%908.41M | -5.68%896.73M | -2.69%901.11M | -2.69%901.11M |
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 | -- |
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