(FY)Dec 30, 2023 | (FY)Dec 30, 2022 | (FY)Dec 30, 2021 | (FY)Dec 30, 2020 | (FY)Dec 30, 2019 | (FY)Dec 30, 2018 | (FY)Dec 30, 2017 | (FY)Dec 30, 2016 | |
---|---|---|---|---|---|---|---|---|
Operating cash flow (direct method) | ||||||||
Cash income from operating activities | 225.92%3.48M | 50.19%-2.76M | -172.15%-5.54M | 52.83%-2.04M | 33.76%-4.32M | 9.51%-6.52M | -40.54%-7.2M | -5.12M |
Revenue from customers | --3.48M | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
Other cash income from operating activities | ---- | 50.19%-2.76M | -172.15%-5.54M | 52.83%-2.04M | 33.76%-4.32M | 9.51%-6.52M | -40.54%-7.2M | ---5.12M |
Cash paid | ||||||||
Direct interest paid | 17.67%-135.8K | -17.61%-164.95K | -58.53%-140.25K | 25.05%-88.47K | -997.82%-118.04K | -151.57%-10.75K | -1,339.06%-4.27K | ---297 |
Direct interest received | 166.05%367.33K | 372.87%138.07K | -61.42%29.2K | -78.00%75.68K | 31.56%343.92K | 32.42%261.41K | 166.97%197.41K | --73.94K |
Operating cash flow | 233.01%3.71M | 50.69%-2.79M | -175.87%-5.65M | 49.91%-2.05M | 34.71%-4.09M | 10.60%-6.27M | -38.77%-7.01M | ---5.05M |
Investing cash flow | ||||||||
Cash flow from continuing investing activities | 29.31%-22.42M | 36.79%-31.71M | 2.39%-50.17M | -541.42%-51.4M | -223.82%-8.01M | -246.11%-2.47M | 116.04%1.69M | -10.56M |
Net PPE purchase and sale | -20.49%-500.68K | 44.20%-415.55K | -410.68%-744.72K | 16.21%-145.83K | 48.36%-174.04K | -79.73%-337.01K | 40.78%-187.52K | ---316.66K |
Net intangibles purchas and sale | -10.07%-5.76M | -102.93%-5.23M | -146.47%-2.58M | -3.53%-1.05M | 4.89%-1.01M | -28.20%-1.06M | -912.03%-828.05K | ---81.82K |
Net business purchase and sale | ---- | 64.62%-16.07M | 17.23%-45.42M | -1,127.78%-54.88M | -892.56%-4.47M | 86.62%-450.33K | -215.94%-3.37M | --2.9M |
Net investment purchase and sale | 200.00%10M | -651.46%-10M | -128.52%-1.33M | 297.65%4.67M | -21.61%-2.36M | -154.38%-1.94M | 127.33%3.57M | ---13.06M |
Net other investing changes | ---26.16M | ---- | ---99.87K | ---- | ---- | -47.51%1.32M | --2.51M | ---- |
Cash from discontinued investing activities | ||||||||
Investing cash flow | 29.31%-22.42M | 36.79%-31.71M | 2.39%-50.17M | -541.42%-51.4M | -223.82%-8.01M | -246.11%-2.47M | 116.04%1.69M | ---10.56M |
Financing cash flow | ||||||||
Cash flow from continuing financing activities | -6.55%15.1M | -51.45%16.16M | -67.37%33.29M | 1,854.07%102.02M | -64.60%5.22M | 1,946.74%14.75M | -102.71%-798.53K | 29.51M |
Net issuance payments of debt | 112.89%33.59K | -237.67%-260.62K | -154.65%-77.18K | 1,945.26%141.22K | -101.78%-7.65K | 208.93%428.98K | ---393.81K | ---- |
Net common stock issuance | -6.91%15.62M | -50.55%16.78M | -66.29%33.94M | 1,856.40%100.7M | -61.43%5.15M | 32,550.01%13.34M | -100.13%-41.12K | --30.52M |
Net other financing activities | -54.08%-550.96K | 37.49%-357.59K | -148.79%-572.05K | 1,347.40%1.17M | -91.68%81.01K | 367.87%973.98K | 63.73%-363.6K | ---1M |
Cash from discontinued financing activities | ||||||||
Financing cash flow | -6.55%15.1M | -51.45%16.16M | -67.37%33.29M | 1,854.07%102.02M | -64.60%5.22M | 1,946.74%14.75M | -102.71%-798.53K | --29.51M |
Net cash flow | ||||||||
Beginning cash position | -54.10%16.58M | -38.94%36.12M | 376.70%59.16M | -35.61%12.41M | 51.15%19.27M | -36.61%12.75M | 271.65%20.12M | --5.41M |
Current changes in cash | 80.34%-3.61M | 18.62%-18.34M | -146.40%-22.53M | 805.43%48.56M | -214.62%-6.88M | 198.26%6.01M | -143.96%-6.11M | --13.9M |
Effect of exchange rate changes | 255.71%1.88M | -138.30%-1.21M | 72.09%-506.04K | -8,764.56%-1.81M | -95.94%20.93K | 141.18%515.63K | -256.57%-1.25M | --799.73K |
End cash Position | -10.42%14.85M | -54.10%16.58M | -38.94%36.12M | 376.70%59.16M | -35.61%12.41M | 51.15%19.27M | -36.61%12.75M | --20.12M |
Free cash from | 69.92%-2.55M | 6.18%-8.47M | -176.46%-9.03M | 38.19%-3.27M | 31.04%-5.28M | 4.60%-7.66M | -47.44%-8.03M | ---5.45M |
Accounting Standards | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP |
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