(Q3)Sep 30, 2024 | (Q2)Jun 30, 2024 | (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 | |
---|---|---|---|---|---|---|---|---|---|---|
Assets | ||||||||||
Current assets | ||||||||||
Cash, cash equivalents and short term investments | 111.59%111.89M | 701.95%169.49M | 59.11%65.22M | 170.39%90.76M | 170.39%90.76M | -27.31%52.88M | -82.22%21.13M | -71.78%40.99M | -75.71%33.57M | -75.71%33.57M |
-Cash and cash equivalents | 111.59%111.89M | 701.95%169.49M | 59.11%65.22M | 170.39%90.76M | 170.39%90.76M | -27.31%52.88M | -82.22%21.13M | -71.78%40.99M | -75.71%33.57M | -75.71%33.57M |
Receivables | -15.62%166.34M | 45.23%280.65M | 56.56%270.3M | 42.19%220.46M | 42.19%220.46M | 24.79%197.13M | -30.78%193.25M | 8.23%172.65M | 0.08%155.04M | 0.08%155.04M |
-Accounts receivable | 54.27%166.34M | 31.06%154.05M | 21.01%137.4M | 15.80%115.16M | 15.80%115.16M | 13.66%107.83M | -29.43%117.55M | 8.02%113.55M | -20.40%99.44M | -20.40%99.44M |
-Notes receivable | ---- | 74.86%125.2M | 145.30%130.5M | 107.93%102.3M | 107.93%102.3M | 53.04%85.7M | -36.41%71.6M | -2.21%53.2M | 119.64%49.2M | 119.64%49.2M |
-Other receivables | ---- | -65.85%1.4M | -59.32%2.4M | -53.13%3M | -53.13%3M | -49.30%3.6M | --4.1M | --5.9M | -15.79%6.4M | -15.79%6.4M |
Prepaid assets | ---- | 762.94%123.4M | 260.68%42.2M | 268.60%31.7M | 268.60%31.7M | -58.26%13.4M | -57.06%14.3M | -44.55%11.7M | -51.41%8.6M | -51.41%8.6M |
Restricted cash | --150K | --150K | --150K | -99.23%150K | -99.23%150K | --0 | --0 | --0 | --19.5M | --19.5M |
Total current assets | 50.87%397.39M | 150.87%573.69M | 67.69%377.87M | 58.31%343.06M | 58.31%343.06M | 0.23%263.4M | -68.58%228.68M | -65.66%225.34M | -92.13%216.71M | -92.13%216.71M |
Non current assets | ||||||||||
Net PPE | 11.13%2.17B | 17.64%2.25B | 20.16%2.25B | 8.48%2.1B | 8.48%2.1B | 11.23%1.95B | -46.34%1.92B | -47.53%1.87B | 1.61%1.93B | 1.61%1.93B |
-Gross PPE | -12.38%2.17B | 17.87%2.85B | 19.07%2.82B | 8.48%2.64B | 8.48%2.64B | 10.38%2.48B | -43.10%2.42B | -43.94%2.37B | 3.11%2.43B | 3.11%2.43B |
-Accumulated depreciation | ---- | -18.76%-600.12M | -14.95%-570.63M | -8.47%-541.98M | -8.47%-541.98M | -7.31%-524.08M | 26.20%-505.33M | 24.44%-496.42M | -9.38%-499.68M | -9.38%-499.68M |
Goodwill and other intangible assets | 67.67%69.53M | 4.67%46.77M | 11.99%51.21M | 31.62%55.22M | 31.62%55.22M | 40.98%41.47M | -87.54%44.68M | -87.28%45.73M | 35.50%41.96M | 35.50%41.96M |
-Goodwill | --31.53M | --4.63M | --4.63M | --4.63M | --4.63M | ---- | ---- | ---- | --0 | --0 |
-Other intangible assets | -8.37%38M | -5.70%42.14M | 1.87%46.58M | 20.58%50.59M | 20.58%50.59M | 40.98%41.47M | -53.38%44.68M | -54.93%45.73M | 35.50%41.96M | 35.50%41.96M |
Investments and advances | -51.22%19.45M | -50.06%19.89M | -45.14%22.06M | 3.11%22.72M | 3.11%22.72M | 78.94%39.87M | -60.00%39.82M | -48.79%40.2M | -3.84%22.04M | -3.84%22.04M |
Other non current assets | 221.73%1.08B | 87.06%555.67M | 84.31%474.54M | 107.13%446.39M | 107.13%446.39M | 61.75%336.49M | 134.29%297.06M | 169.82%257.47M | 39.90%215.51M | 39.90%215.51M |
Total non current assets | 40.97%3.34B | 25.19%2.88B | 26.26%2.8B | 18.47%2.62B | 18.47%2.62B | 17.63%2.37B | -44.71%2.3B | -45.98%2.22B | 4.84%2.21B | 4.84%2.21B |
Total assets | 41.96%3.74B | 36.57%3.45B | 30.08%3.18B | 22.02%2.96B | 22.02%2.96B | 15.62%2.63B | -48.27%2.53B | -48.69%2.44B | -50.05%2.43B | -50.05%2.43B |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Payables | 81.12%196.66M | 61.36%128.71M | 32.54%139.25M | 30.60%112.91M | 30.60%112.91M | 5.92%108.58M | -68.38%79.77M | -44.62%105.07M | -0.67%86.45M | -0.67%86.45M |
-accounts payable | 81.12%196.66M | 61.36%128.71M | 32.54%139.25M | 30.60%112.91M | 30.60%112.91M | 5.92%108.58M | -68.25%79.77M | -43.96%105.07M | -0.67%86.45M | -0.67%86.45M |
Current liabilities | 81.12%196.66M | 61.36%128.71M | 32.54%139.25M | 30.60%112.91M | 30.60%112.91M | 5.92%108.58M | -68.50%79.77M | -45.03%105.07M | -91.90%86.45M | -91.90%86.45M |
Non current liabilities | ||||||||||
Long term debt and capital lease obligation | 41.20%3.22B | 41.62%3.08B | 28.16%2.69B | 15.70%2.52B | 15.70%2.52B | 12.58%2.28B | -39.12%2.17B | -39.47%2.1B | -13.03%2.18B | -13.03%2.18B |
-Long term debt | 41.20%3.22B | 41.62%3.08B | 28.16%2.69B | 15.70%2.52B | 15.70%2.52B | 12.58%2.28B | -37.87%2.17B | -38.17%2.1B | -13.03%2.18B | -13.03%2.18B |
Other non current liabilities | 36.18%205.38M | -4.44%173.38M | 3.11%165.3M | 7.13%158.55M | 7.13%158.55M | 20.77%150.82M | -50.96%181.44M | -52.00%160.32M | -13.39%148M | -13.39%148M |
Total non current liabilities | 40.89%3.42B | 38.07%3.25B | 26.38%2.86B | 15.16%2.68B | 15.16%2.68B | 13.06%2.43B | -40.23%2.35B | -40.57%2.26B | -13.05%2.32B | -13.05%2.32B |
Total liabilities | 42.61%3.62B | 38.84%3.38B | 26.66%3B | 15.71%2.79B | 15.71%2.79B | 12.74%2.54B | -41.94%2.43B | -40.78%2.37B | -35.55%2.41B | -35.55%2.41B |
Shareholders'equity | ||||||||||
Share capital | 1.98%1.18M | 2.16%1.18M | 0.43%1.16M | 2.74%1.16M | 2.74%1.16M | 3.02%1.16M | 2.76%1.16M | 2.76%1.16M | 0.44%1.13M | 0.44%1.13M |
-common stock | 2.30%1.03M | 2.51%1.02M | 0.50%1M | 0.50%1M | 0.50%1M | 0.80%1M | 0.50%997K | 0.50%997K | 0.50%997K | 0.50%997K |
-Preferred stock | 0.00%159K | 0.00%159K | 0.00%159K | 19.55%159K | 19.55%159K | 19.55%159K | 19.55%159K | 19.55%159K | 0.00%133K | 0.00%133K |
Retained earnings | 12.29%-175.55M | -8.52%-262.03M | 85.77%-42.16M | 74.88%-81.79M | 74.88%-81.79M | 43.21%-200.15M | 28.21%-241.45M | 16.46%-296.21M | -145.94%-325.6M | -145.94%-325.6M |
Paid-in capital | -0.21%292.9M | -0.20%330.42M | -40.85%218.07M | -25.45%255.97M | -25.45%255.97M | -22.10%293.51M | -75.16%331.08M | -73.14%368.68M | -75.68%343.35M | -75.68%343.35M |
Total stockholders'equity | 25.39%118.53M | -23.37%69.57M | 140.48%177.07M | 828.85%175.35M | 828.85%175.35M | 270.35%94.53M | -87.01%90.78M | -90.41%73.63M | -98.32%18.88M | -98.32%18.88M |
Noncontrolling interests | --0 | --0 | 1.91%534K | 1.91%534K | 1.91%534K | 1.91%534K | 105.56%534K | 107.54%524K | 372.92%524K | 372.92%524K |
Total equity | 24.69%118.53M | -23.82%69.57M | 139.50%177.61M | 806.52%175.88M | 806.52%175.88M | 264.95%95.06M | -86.75%91.32M | -90.26%74.16M | -98.27%19.4M | -98.27%19.4M |
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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