(Q2)Jul 1, 2023 | (Q1)Apr 1, 2023 | (FY)Dec 31, 2022 | (Q4)Dec 31, 2022 | (Q3)Sep 24, 2022 | (Q2)Jun 25, 2022 | (Q1)Mar 26, 2022 | (FY)Dec 25, 2021 | (Q4)Dec 25, 2021 | (Q3)Sep 25, 2021 | |
---|---|---|---|---|---|---|---|---|---|---|
Assets | ||||||||||
Current assets | ||||||||||
Cash, cash equivalents and short term investments | 11.81%106.26M | -34.31%98.27M | -72.40%80.78M | -72.40%80.78M | -54.41%72.93M | -42.55%95.04M | -9.26%149.6M | 96.74%292.71M | 96.74%292.71M | -11.09%159.97M |
-Cash and cash equivalents | 11.81%106.26M | -34.31%98.27M | -72.40%80.78M | -72.40%80.78M | -54.41%72.93M | -42.55%95.04M | -9.26%149.6M | 96.74%292.71M | 96.74%292.71M | -11.09%159.97M |
Receivables | 43.27%256M | 37.47%151.72M | 43.36%170.16M | 43.36%170.16M | 49.70%143.24M | 120.40%178.69M | 25.04%110.37M | 76.28%118.7M | 76.28%118.7M | 13.54%95.69M |
-Accounts receivable | 31.77%213.9M | 39.99%115.98M | 66.79%143.58M | 66.79%143.58M | 6.06%101.49M | 100.22%162.33M | 15.89%82.85M | 123.93%86.09M | 123.93%86.09M | 96.13%95.69M |
-Notes receivable | 67.40%2.06M | 46.81%2.21M | 31.53%2.21M | 31.53%2.21M | --1.16M | --1.23M | -5.88%1.51M | -89.11%1.68M | -89.11%1.68M | ---- |
-Accrued interest receivable | ---- | ---- | --0 | --0 | ---- | --52K | --55K | -35.71%54K | -35.71%54K | ---- |
-Taxes receivable | 75.82%48.25M | 34.71%36.57M | -12.71%28.33M | -12.71%28.33M | --41.81M | --27.44M | 75.10%27.15M | 137.71%32.45M | 137.71%32.45M | ---- |
-Recievables adjustments allowances | 33.67%-8.2M | -155.29%-3.04M | -151.65%-3.96M | -151.65%-3.96M | ---1.22M | ---12.37M | -259.52%-1.19M | -455.48%-1.57M | -455.48%-1.57M | ---- |
Inventory | -9.53%746.75M | -2.49%759.89M | 9.46%736.84M | 9.46%736.84M | 48.45%792.06M | 63.53%825.39M | 74.02%779.28M | 122.68%673.17M | 122.68%673.17M | 66.97%533.55M |
Restricted cash | -40.43%191.83M | -24.95%290.37M | -20.74%292.91M | -20.74%292.91M | --341.08M | --322.03M | --386.89M | --369.57M | --369.57M | ---- |
Other current assets | 7.01%28.24M | 4.25%29.61M | 13.34%27.27M | 13.34%27.27M | 45.51%27.13M | 22.41%26.39M | 27.04%28.4M | 71.92%24.06M | 71.92%24.06M | -18.39%18.64M |
Total current assets | -9.41%1.34B | -19.34%1.34B | -10.94%1.32B | -10.94%1.32B | 71.47%1.39B | 66.45%1.48B | 92.46%1.66B | 156.88%1.48B | 156.88%1.48B | 33.18%807.85M |
Non current assets | ||||||||||
Net PPE | 3.34%1.13B | 20.41%1.14B | -4.29%1.11B | -4.29%1.11B | 29.28%1.11B | 24.91%1.09B | 8.99%950.88M | 82.55%1.16B | 82.55%1.16B | 30.25%859.53M |
-Gross PPE | 3.34%1.13B | 20.41%1.14B | 1.11%1.28B | 1.11%1.28B | 29.28%1.11B | 24.91%1.09B | 8.99%950.88M | 84.99%1.27B | 84.99%1.27B | 30.25%859.53M |
-Accumulated depreciation | ---- | ---- | -61.59%-168.19M | -61.59%-168.19M | ---- | ---- | ---- | -117.44%-104.08M | -117.44%-104.08M | ---- |
Goodwill and other intangible assets | -13.38%997.62M | -13.38%1B | -6.94%1.08B | -6.94%1.08B | -1.48%1.08B | 4.76%1.15B | 4.86%1.15B | 107.32%1.16B | 107.32%1.16B | 78.19%1.1B |
-Goodwill | -17.75%663.48M | -17.76%663.47M | -8.57%737.4M | -8.57%737.4M | -6.27%738.08M | 2.47%806.65M | 2.54%806.7M | 79.93%806.54M | 79.93%806.54M | 67.62%787.44M |
-Other intangible assets | -3.16%334.14M | -3.22%336.7M | -3.18%339.5M | -3.18%339.5M | 10.74%342.08M | 10.53%345.05M | 10.65%347.91M | 219.08%350.64M | 219.08%350.64M | 112.34%308.91M |
Investments and advances | -75.50%5.98M | -16.07%9.76M | -67.13%11.59M | -67.13%11.59M | --13.26M | --24.39M | --11.63M | --35.25M | --35.25M | ---- |
Long-term notes receivables | 3.90%10.81M | -76.83%11.2M | -0.17%11.74M | -0.17%11.74M | ---- | --10.4M | --48.36M | --11.76M | --11.76M | ---- |
Non current accounts receivable | ---- | ---- | ---- | ---- | -14.59%10.25M | ---- | -4.70%11.16M | ---- | ---- | --12M |
Other non current assets | 52.09%91.21M | 458.02%103.67M | 49.68%99.02M | 49.68%99.02M | 18.49%66.18M | 318.44%59.97M | 23.36%18.58M | 4.11%66.15M | 4.11%66.15M | 281.69%55.86M |
Total non current assets | -4.46%2.24B | 3.40%2.27B | -4.97%2.31B | -4.97%2.31B | 12.71%2.28B | 16.92%2.34B | 9.74%2.2B | 91.36%2.43B | 91.36%2.43B | 54.97%2.02B |
Total assets | -6.37%3.57B | -6.39%3.61B | -7.23%3.63B | -7.23%3.63B | 29.48%3.67B | 32.12%3.82B | 34.64%3.85B | 111.76%3.91B | 111.76%3.91B | 48.06%2.83B |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Current debt and capital lease obligation | 6.58%533.59M | -8.68%603.88M | -20.14%526.48M | -20.14%526.48M | 257.13%571.39M | 193.90%500.64M | 293.69%661.25M | 185.29%659.27M | 185.29%659.27M | -34.44%160M |
-Current debt | 9.92%354.34M | -12.98%424.63M | -28.63%346.96M | -28.63%346.96M | 27,560.00%392.77M | 2,692.47%322.36M | 3,961.57%487.96M | 367.23%486.17M | 367.23%486.17M | -98.74%1.42M |
-Current capital lease obligation | 0.55%179.25M | 3.43%179.25M | 3.71%179.52M | 3.71%179.52M | 12.64%178.62M | 12.27%178.28M | 11.12%173.3M | 36.27%173.1M | 36.27%173.1M | 20.42%158.58M |
Other current liabilities | -16.42%34.83M | -20.53%40.98M | -20.25%40.54M | -20.25%40.54M | 10.49%37.67M | -34.56%41.67M | -39.43%51.57M | -22.69%50.83M | -22.69%50.83M | -6.49%34.1M |
Current liabilities | 0.82%975.96M | -9.48%1.06B | -15.77%943.91M | -15.77%943.91M | 82.34%1.01B | 65.44%968.04M | 98.05%1.17B | 104.04%1.12B | 104.04%1.12B | 3.06%554.37M |
Non current liabilities | ||||||||||
Long term debt and capital lease obligation | 16.05%2.3B | 19.80%2.2B | 13.48%2.2B | 13.48%2.2B | 26.45%2.01B | 12.18%1.98B | 4.47%1.84B | 123.28%1.94B | 123.28%1.94B | 70.77%1.59B |
-Long term debt | 22.59%1.57B | 13.64%1.46B | 7.10%1.48B | 7.10%1.48B | 19.89%1.29B | 2.90%1.28B | 3.53%1.29B | 196.34%1.38B | 196.34%1.38B | 107.79%1.07B |
-Long term capital lease obligation | 4.09%729.87M | 34.17%741.17M | 29.33%720.47M | 29.33%720.47M | 40.16%719.67M | 34.33%701.19M | 6.73%552.41M | 38.48%557.07M | 38.48%557.07M | 24.44%513.46M |
Other non current liabilities | -27.06%69.58M | -27.89%65.43M | -29.44%62.72M | -29.44%62.72M | 101.85%103.68M | 103.18%95.39M | 96.37%90.74M | 150.23%88.89M | 150.23%88.89M | 38.46%51.37M |
Total non current liabilities | 14.07%2.37B | 17.56%2.27B | 11.60%2.27B | 11.60%2.27B | 28.82%2.11B | 14.54%2.08B | 6.82%1.93B | 122.18%2.03B | 122.18%2.03B | 69.53%1.64B |
Total liabilities | 9.86%3.35B | 7.35%3.33B | 1.86%3.21B | 1.86%3.21B | 42.35%3.12B | 26.95%3.05B | 29.32%3.1B | 115.37%3.15B | 115.37%3.15B | 45.75%2.19B |
Shareholders'equity | ||||||||||
Share capital | -11.58%397K | -11.80%396K | -12.05%394K | -12.05%394K | -4.47%427K | 0.45%449K | 0.45%449K | 8.21%448K | 8.21%448K | 8.23%447K |
-common stock | -12.87%352K | -13.12%351K | -13.40%349K | -13.40%349K | -4.98%382K | 0.50%404K | 0.50%404K | 0.50%403K | 0.50%403K | 0.25%402K |
-Preferred stock | 0.00%45K | 0.00%45K | 0.00%45K | 0.00%45K | 0.00%45K | 0.00%45K | 0.00%45K | 246.15%45K | 246.15%45K | 275.00%45K |
Retained earnings | -130.32%-85.62M | -112.16%-32.91M | -61.70%109.92M | -61.70%109.92M | -19.81%134.42M | 1,233.71%282.35M | 1,424,157.89%270.61M | 7,514.41%286.99M | 7,514.41%286.99M | 600.59%167.63M |
Paid-in capital | -36.09%310.65M | -35.47%310.16M | -34.57%311.07M | -34.57%311.07M | -12.83%410.91M | 4.00%486.06M | 3.56%480.63M | 24.32%475.4M | 24.32%475.4M | 22.12%471.41M |
Gains losses not affecting retained earnings | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | --0 |
Total stockholders'equity | -70.68%225.43M | -63.06%277.65M | -44.76%421.38M | -44.76%421.38M | -14.66%545.76M | 57.55%768.85M | 62.19%751.69M | 98.05%762.83M | 98.05%762.83M | 56.53%639.48M |
Noncontrolling interests | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | --0 |
Total equity | -70.68%225.43M | -63.06%277.65M | -44.76%421.38M | -44.76%421.38M | -14.66%545.76M | 57.55%768.85M | 62.19%751.69M | 98.05%762.83M | 98.05%762.83M | 56.53%639.48M |
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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