(Q1)Sep 27, 2024 | (FY)Jun 28, 2024 | (Q4)Jun 28, 2024 | (Q3)Mar 29, 2024 | (Q2)Dec 29, 2023 | (Q1)Sep 29, 2023 | (FY)Jun 30, 2023 | (Q4)Jun 30, 2023 | (Q3)Mar 31, 2023 | (Q2)Dec 30, 2022 | |
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Operating Cash Flow (Indirect Method) | ||||||||||
Cash flow from continuing operating activities | -42.65%83.18M | 93.68%413.15M | 16.84%83.06M | 171.73%100.87M | 89.28%84.17M | 139.22%145.05M | 71.68%213.31M | 334.82%71.09M | -26.24%37.12M | 115.26%44.47M |
Net income from continuing operations | 18.90%77.39M | 19.47%296.18M | 33.36%81.07M | 36.33%80.92M | 9.43%69.11M | 0.73%65.09M | 23.72%247.91M | 8.18%60.79M | 17.16%59.36M | 29.21%63.16M |
Operating gains losses | 4,954.69%6.21M | 44.80%-1.01M | 392.84%1.47M | -44.11%-5.5M | 5.35%3.15M | 74.09%-128K | 52.66%-1.83M | 66.71%-503K | -277.27%-3.82M | 521.41%2.99M |
Depreciation and amortization | 6.61%12.75M | 11.83%49.02M | 9.60%12.42M | 13.82%12.42M | 15.98%12.23M | 8.20%11.96M | 13.15%43.83M | 15.23%11.33M | 11.39%10.91M | 10.04%10.54M |
Deferred tax | -297.60%-2.72M | 147.99%1.67M | 117.05%547K | -99.25%8K | 76.76%-260K | 728.77%1.38M | -1,724.08%-3.48M | -325.46%-3.21M | -31.44%1.06M | -26.87%-1.12M |
Other non cash items | -95.95%9K | -89.02%311K | -84.58%117K | -95.63%104K | -198.51%-132K | 150.57%222K | 99.23%2.83M | 129.31%759K | 194.80%2.38M | 605.26%134K |
Change In working capital | -131.38%-18.39M | 139.72%41.33M | -251.19%-17.2M | 118.14%7.02M | 81.60%-7.08M | 366.82%58.59M | 28.31%-104.06M | 91.25%-4.9M | -113.47%-38.73M | 14.59%-38.48M |
-Change in receivables | -1,577.04%-69.4M | 20.33%-61.28M | -124.78%-7.19M | 99.17%-216K | 10.51%-49.74M | 83.09%-4.14M | 27.13%-76.92M | 430.05%29.02M | 58.06%-25.88M | -46.59%-55.58M |
-Change in inventory | -71.31%22.8M | 50.52%56.37M | -126.12%-9.07M | -121.77%-39.38M | 404.06%25.34M | 175.90%79.48M | 127.74%37.45M | 133.23%34.73M | -155.08%-17.76M | 57.50%-8.33M |
-Change in payables and accrued expense | 214.69%23.19M | 204.42%58.08M | 121.62%10.88M | 9,904.28%52.65M | -41.60%14.77M | 32.70%-20.22M | -159.97%-55.62M | -231.49%-50.33M | -104.59%-537K | 58.49%25.3M |
-Change in other current assets | -62.79%1.21M | -244.30%-46.72M | -606.38%-13.17M | -13,023.31%-17.19M | -1,566.50%-19.6M | 130.37%3.24M | -111.01%-13.57M | -138.91%-1.86M | 102.35%133K | 73.95%-1.18M |
-Change in other current liabilities | 766.39%3.17M | 3,704.15%32.11M | 104.53%829K | 120.96%10.3M | 3,140.63%21.45M | -103.45%-476K | -89.53%844K | -1,744.24%-18.28M | -8.08%4.66M | 819.44%662K |
-Change in other working capital | -9.49%639K | -26.17%2.77M | -71.57%522K | 31.79%854K | 5.67%689K | 14.42%706K | 263.31%3.75M | 267.98%1.84M | 217.65%648K | -31.66%652K |
Cash from discontinued investing activities | ||||||||||
Operating cash flow | -42.65%83.18M | 93.68%413.15M | 16.84%83.06M | 171.73%100.87M | 89.28%84.17M | 139.22%145.05M | 71.68%213.31M | 334.82%71.09M | -26.24%37.12M | 115.26%44.47M |
Investing cash flow | ||||||||||
Cash flow from continuing investing activities | -35.63%-71.99M | -71.96%-169.75M | -80.90%-51.14M | 65.70%-16.76M | -8.51%-48.77M | -327.16%-53.08M | 27.17%-98.72M | 45.98%-28.27M | -65.99%-48.87M | -620.07%-44.95M |
Net PPE purchase and sale | -81.83%-20.21M | 26.78%-44.83M | 31.23%-12.33M | 32.38%-13.32M | 39.60%-8.07M | -8.47%-11.12M | 31.45%-61.23M | -26.01%-17.93M | 15.73%-19.69M | 30.95%-13.36M |
Net intangibles purchase and sale | 32.22%-122K | 2.41%-889K | 43.19%-121K | 12.59%-250K | 15.71%-338K | -1,536.36%-180K | 8.44%-911K | 47.15%-213K | -95.89%-286K | -197.04%-401K |
Net investment purchase and sale | -23.63%-51.66M | -239.12%-124.03M | -281.98%-38.69M | 88.94%-3.19M | -29.44%-40.36M | -224.25%-41.78M | 19.13%-36.57M | 73.13%-10.13M | -387.50%-28.89M | -335.44%-31.18M |
Cash from discontinued investing activities | ||||||||||
Investing cash flow | -35.63%-71.99M | -71.96%-169.75M | -80.90%-51.14M | 65.70%-16.76M | -8.51%-48.77M | -327.16%-53.08M | 27.17%-98.72M | 45.98%-28.27M | -65.99%-48.87M | -620.07%-44.95M |
Financing cash flow | ||||||||||
Cash flow from continuing financing activities | -33.08%-20.22M | 19.92%-64.85M | 83.14%-7.05M | -306.88%-32.98M | -170.34%-9.62M | 44.72%-15.19M | 12.86%-80.98M | -20.45%-41.83M | 71.49%-8.11M | 53.53%-3.56M |
Net issuance payments of debt | --0 | 20.04%-12.19M | 0.03%-3.05M | 0.07%-3.05M | 0.07%-3.05M | 50.02%-3.05M | -24.99%-15.24M | 0.20%-3.05M | -0.07%-3.05M | -0.07%-3.05M |
Net common stock issuance | ---- | 16.99%-39.49M | 90.75%-3.55M | -618.96%-29.57M | ---- | ---- | 20.60%-47.58M | -22.58%-38.36M | 83.16%-4.11M | 95.14%-204K |
Net other financing activities | -66.46%-20.22M | 27.48%-13.18M | -7.49%-459K | 61.44%-364K | 33.22%-205K | 26.33%-12.15M | 12.76%-18.17M | -10.91%-427K | 1.46%-944K | 26.20%-307K |
Cash from discontinued financing activities | ||||||||||
Financing cash flow | -33.08%-20.22M | 19.92%-64.85M | 83.14%-7.05M | -306.88%-32.98M | -170.34%-9.62M | 44.72%-15.19M | 12.86%-80.98M | -20.45%-41.83M | 71.49%-8.11M | 53.53%-3.56M |
Net cash flow | ||||||||||
Beginning cash position | 77.20%409.97M | 16.64%231.37M | 66.90%385.11M | 33.18%334.05M | 20.73%308.34M | 16.64%231.37M | -34.56%198.37M | -14.32%230.74M | -9.40%250.83M | -5.43%255.4M |
Current changes in cash | -111.76%-9.03M | 431.23%178.54M | 2,420.06%24.87M | 357.52%51.13M | 737.66%25.77M | 35.85%76.78M | 132.24%33.61M | 101.40%987K | -163.20%-19.85M | -159.83%-4.04M |
Effect of exchange rate changes | -231.79%-257K | 110.40%63K | 96.96%-11K | 70.82%-68K | 90.02%-53K | -62.50%195K | -14.99%-606K | -60.18%-362K | -4,560.00%-233K | -2,224.00%-531K |
End cash Position | 29.95%400.68M | 77.20%409.97M | 77.20%409.97M | 66.90%385.11M | 33.18%334.05M | 20.73%308.34M | 16.64%231.37M | 16.64%231.37M | -14.32%230.74M | -9.40%250.83M |
Free cash flow | -52.93%62.81M | 141.48%364.73M | 32.68%70.24M | 410.24%87.03M | 141.28%74.03M | 164.93%133.43M | 348.68%151.04M | 3,041.66%52.94M | -36.29%17.06M | 2,622.27%30.68M |
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 | -- | -- | -- |
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