(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 | (Q3)Sep 30, 2022 | (Q2)Jun 30, 2022 | |
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Operating Cash Flow (Indirect Method) | ||||||||||
Cash flow from continuing operating activities | 85.71%-14.72M | 27.38%-278.18M | -35.27%-37.81M | 33.62%-79.66M | 48.80%-57.73M | 15.84%-102.98M | -12.74%-383.06M | 72.57%-27.95M | 35.33%-120.01M | -252.40%-112.74M |
Net income from continuing operations | 66.74%-48.22M | 28.31%-431.74M | 55.33%-83.8M | 34.89%-78.05M | 11.83%-124.93M | 5.31%-144.97M | -16.60%-602.24M | -122.51%-187.58M | 60.56%-119.87M | -168.49%-141.69M |
Operating gains losses | -77.57%22.99M | 186.97%239.86M | 172.69%217.31M | 851.05%16.45M | -1,958.30%-96.39M | 11,363.87%102.49M | 35.65%83.58M | 3,552.25%79.69M | -103.47%-2.19M | 244.69%5.19M |
Depreciation and amortization | 904.73%18.48M | 727.39%45.47M | 500.47%17.79M | 279.64%13.14M | 154.26%12.7M | -62.11%1.84M | 64.18%5.5M | 421.72%2.96M | -429.31%-7.31M | 371.48%4.99M |
Other non cash items | 37.60%-27.88M | -92.93%667K | -314.10%-112.15M | -115.73%-5.98M | 6,022.83%163.47M | -3,700.00%-44.68M | -93.47%9.43M | 44.11%-27.08M | -67.22%38.03M | -111.73%-2.76M |
Change In working capital | 173.67%19.37M | -251.18%-49.14M | -44.25%15.62M | 26.39%-25.26M | -171.79%-13.21M | -228.88%-26.29M | 147.08%32.51M | 50.74%28.03M | 59.61%-34.32M | 1,665.22%18.41M |
-Change in inventory | 1,077.45%4.8M | -567.98%-29.77M | 122.12%986K | -2,722.53%-24.91M | ---6.25M | --408K | ---4.46M | ---4.46M | --950K | ---- |
-Change in prepaid assets | 149.18%5.96M | 31.85%14.34M | 1,448.35%33.57M | -165.04%-1.47M | -232.72%-5.66M | -277.02%-12.11M | 122.42%10.87M | 80.40%-2.49M | 106.19%2.26M | 142.55%4.26M |
-Change in payables and accrued expense | 149.94%10.42M | -185.29%-28.11M | -162.06%-18.59M | 133.92%8.25M | -79.35%3.09M | -269.02%-20.87M | 1,006.82%32.95M | 0.65%29.95M | 18.07%-24.33M | 502.20%14.99M |
-Change in other current assets | -126.51%-1.81M | 44.99%-2.88M | -90.19%531K | 53.19%-6.39M | -525.47%-3.84M | 225.49%6.82M | 68.99%-5.24M | 251.49%5.41M | 27.21%-13.65M | 14.02%903K |
-Change in other current liabilities | 99.26%-4K | -67.72%-2.72M | -123.10%-879K | -263.94%-741K | 30.28%-555K | 38.55%-542K | ---1.62M | ---394K | --452K | ---796K |
Cash from discontinued investing activities | ||||||||||
Operating cash flow | 85.71%-14.72M | 27.38%-278.18M | -35.27%-37.81M | 33.62%-79.66M | 48.80%-57.73M | 15.84%-102.98M | -12.74%-383.06M | 72.57%-27.95M | 35.33%-120.01M | -252.40%-112.74M |
Investing cash flow | ||||||||||
Cash flow from continuing investing activities | 99.93%-12K | 74.75%-31.11M | -82.17%-20.26M | 168.63%15.01M | 80.41%-8.98M | 62.00%-16.87M | -28.78%-123.22M | 80.96%-11.12M | 39.06%-21.87M | -6,690.52%-45.84M |
Net PPE purchase and sale | 99.93%-12K | 74.75%-31.11M | -82.17%-20.26M | 168.63%15.01M | 80.41%-8.98M | 62.00%-16.87M | -28.78%-123.22M | 80.96%-11.12M | 39.06%-21.87M | -6,690.52%-45.84M |
Cash from discontinued investing activities | ||||||||||
Investing cash flow | 99.93%-12K | 74.75%-31.11M | -82.17%-20.26M | 168.63%15.01M | 80.41%-8.98M | 62.00%-16.87M | -28.78%-123.22M | 80.96%-11.12M | 39.06%-21.87M | -6,690.52%-45.84M |
Financing cash flow | ||||||||||
Cash flow from continuing financing activities | -91.06%12.01M | 4,436.35%291.45M | 57.48%53.88M | 24.10%55.73M | 28,999.39%47.4M | 256.92%134.44M | -100.70%-6.72M | 8,131.46%34.21M | -94.75%44.91M | -100.43%-164K |
Net issuance payments of debt | -90.84%12.04M | 1,707.52%255.34M | -14.70%27.92M | 20.04%47.51M | 7,407.69%48.45M | 250.19%131.46M | -119.23%-15.88M | 6,382.92%32.73M | 257.76%39.58M | -101.75%-663K |
Net common stock issuance | ---- | 4,597.00%34.49M | --25.97M | ---- | ---- | ---- | -100.08%-767K | --0 | ---- | ---- |
Proceeds from stock option exercised by employees | --0 | -70.08%4.12M | --0 | --0 | -101.00%-5K | 122.26%4.12M | 30.01%13.76M | 2,532.63%2.5M | 225.03%8.91M | -90.22%499K |
Net other financing activities | 97.81%-25K | 34.72%-2.5M | 98.63%-14K | ---300K | ---1.05M | ---1.14M | 96.74%-3.83M | ---1.02M | ---- | ---- |
Cash from discontinued financing activities | ||||||||||
Financing cash flow | -91.06%12.01M | 4,436.35%291.45M | 57.48%53.88M | 24.10%55.73M | 28,999.39%47.4M | 256.92%134.44M | -100.70%-6.72M | 8,131.46%34.21M | -94.75%44.91M | -100.43%-164K |
Net cash flow | ||||||||||
Beginning cash position | -78.26%4.03M | -96.51%18.51M | -74.75%8.57M | -84.04%19.4M | -88.00%33.27M | -96.51%18.51M | 28,935.41%530.48M | -95.09%33.93M | 108.65%121.53M | 420.95%277.39M |
Current changes in cash | -118.63%-2.72M | 96.52%-17.84M | 13.75%-4.19M | 90.79%-8.93M | 87.83%-19.31M | 105.78%14.59M | -196.59%-513M | 96.98%-4.86M | -115.29%-96.97M | -2,808.41%-158.74M |
Effect of exchange rate changes | -101.18%-2K | 222.93%3.35M | 96.67%-352K | -120.30%-1.9M | 88.16%5.43M | 126.03%170K | 141.97%1.04M | -16,855.56%-10.56M | 928.96%9.36M | 436.20%2.89M |
End cash Position | -96.08%1.31M | -78.26%4.03M | -78.26%4.03M | -74.75%8.57M | -84.04%19.4M | -88.00%33.27M | -96.51%18.51M | -96.51%18.51M | -95.09%33.93M | 108.65%121.53M |
Free cash flow | 87.64%-14.82M | 38.91%-309.29M | -48.63%-58.07M | 54.43%-64.66M | 57.93%-66.71M | 28.13%-119.85M | -16.27%-506.28M | 75.63%-39.07M | 35.93%-141.87M | -385.43%-158.58M |
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 | -- | -- | -- |
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