(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 | |
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Operating Cash Flow (Indirect Method) | ||||||||||
Cash flow from continuing operating activities | 172.68%5.1M | 9.31%-3.06M | 240.96%3.89M | 74.69%-11.3M | -180.86%-2.05M | 69.83%-7.01M | 78.15%-3.37M | 113.45%1.14M | -72.72%-44.63M | 133.51%2.53M |
Net income from continuing operations | 96.74%2.53M | 9,500.00%1.97M | -92.68%1.56M | 158.42%24.71M | 111.06%2.1M | 106.85%1.29M | -100.34%-21K | 299.02%21.34M | -38.59%-42.31M | -17.53%-19.03M |
Operating gains losses | --0 | ---- | ---- | -56.38%-4.56M | --0 | -280.00%-38K | --0 | -56,625.00%-4.52M | -199.08%-2.92M | -2,464.10%-1M |
Depreciation and amortization | 21.55%220K | 28.32%222K | 25.00%220K | 0.00%734K | 13.33%204K | 2.26%181K | -4.95%173K | -9.74%176K | -27.40%734K | -17.43%180K |
Deferred tax | -66.00%17K | 16.67%7K | 3,583.33%209K | 183.20%104K | 142.86%54K | 733.33%50K | 700.00%6K | -50.00%-6K | -123.21%-125K | -82.61%-126K |
Other non cash items | 6.42%2.07M | -16.71%2.11M | -42.66%2.02M | 0.62%10.01M | -49.27%2.01M | -46.30%1.95M | 17.89%2.53M | 1,523.50%3.52M | 221.86%9.95M | 7,860.78%3.96M |
Change In working capital | 97.70%-250K | -186.55%-7.86M | -109.96%-752K | 13.09%-13.17M | -184.00%-7.1M | 23.25%-10.87M | 54.99%-2.74M | 325.77%7.55M | -2,997.32%-15.15M | 2,108.79%8.46M |
-Change in receivables | -1,147.07%-5.96M | -311.47%-4.04M | -2,635.71%-1.15M | 79.65%-6.58M | -582.73%-7.97M | 97.64%-478K | 114.10%1.91M | 77.89%-42K | -3,052.29%-32.31M | 207.07%1.65M |
-Change in inventory | -130.39%-724K | 155.58%1.51M | -198.87%-1.32M | 124.48%1.94M | -21.47%2.71M | 134.76%2.38M | 22.86%-2.72M | 55.86%-441K | -549.83%-7.92M | 706.32%3.46M |
-Change in payables and accrued expense | 160.57%6.77M | -168.45%-4.58M | -81.64%1.78M | -116.65%-4.31M | -135.13%-1.13M | -183.92%-11.17M | -115.40%-1.71M | 663.01%9.7M | 2,486.70%25.87M | 165.51%3.2M |
-Change in other current assets | 118.79%161K | -136.21%-168K | 282.13%856K | -193.33%-836K | -89.29%27K | -180.98%-857K | 3,966.67%464K | -113.64%-470K | 53.20%-285K | -76.82%252K |
-Change in other current liabilities | 34.40%-492K | 15.37%-589K | 22.61%-921K | -568.84%-3.39M | -633.01%-755K | -681.25%-750K | -640.43%-696K | -456.07%-1.19M | 15.92%-507K | 82.92%-103K |
Cash from discontinued investing activities | ||||||||||
Operating cash flow | 172.68%5.1M | 9.31%-3.06M | 240.96%3.89M | 74.69%-11.3M | -180.86%-2.05M | 69.83%-7.01M | 78.15%-3.37M | 113.45%1.14M | -72.72%-44.63M | 133.51%2.53M |
Investing cash flow | ||||||||||
Cash flow from continuing investing activities | -12.45%-262K | 68.15%-43K | 3.18%-152K | -119.02%-1.01M | -137.88%-489K | -56.38%-233K | -103.24%-135K | -754.17%-157K | 4,659.82%5.33M | 1,771.01%1.29M |
Capital expenditure reported | 12.96%-262K | 42.96%-77K | 3.18%-152K | -156.77%-1.08M | -98.37%-488K | -77.06%-301K | -2,600.00%-135K | ---157K | -979.49%-421K | -2,975.00%-246K |
Net other investing changes | --0 | ---- | ---- | -98.84%67K | -100.07%-1K | ---- | ---- | ---- | 3,709.27%5.75M | 1,896.10%1.54M |
Cash from discontinued investing activities | ||||||||||
Investing cash flow | -12.45%-262K | 68.15%-43K | 3.18%-152K | -119.02%-1.01M | -137.88%-489K | -56.38%-233K | -103.24%-135K | -754.17%-157K | 4,659.82%5.33M | 1,771.01%1.29M |
Financing cash flow | ||||||||||
Cash flow from continuing financing activities | -262.25%-4.56M | 3,880.00%2.65M | -439.24%-4.41M | -84.51%5.93M | 5,786.76%4M | 328.33%2.81M | -100.36%-70K | -104.09%-818K | 10,386.83%38.27M | -13.92%68K |
Net issuance payments of debt | -233.25%-4.42M | 4,974.07%2.63M | -21,019.05%-4.44M | -65.38%7.31M | 50,950.00%4.07M | 36,955.56%3.32M | -671.43%-54K | -100.10%-21K | 34,151.61%21.11M | 55.56%-8K |
Net common stock issuance | 73.33%26K | 123.08%29K | 65.00%33K | -42.11%77K | -73.39%29K | --15K | -45.83%13K | --20K | 66.25%133K | 36.25%109K |
Proceeds from stock option exercised by employees | ---- | ---- | --0 | --0 | --617K | ---- | ---- | ---617K | --18.33M | --0 |
Net other financing activities | -273.47%-170K | 97.68%-15K | 95.50%-9K | -11.54%-1.46M | -2,054.55%-711K | 284.91%98K | -717.72%-646K | 82.50%-200K | -235.38%-1.31M | -294.12%-33K |
Cash from discontinued financing activities | ||||||||||
Financing cash flow | -262.25%-4.56M | 3,880.00%2.65M | -439.24%-4.41M | -84.51%5.93M | 5,786.76%4M | 328.33%2.81M | -100.36%-70K | -104.09%-818K | 10,386.83%38.27M | -13.92%68K |
Net cash flow | ||||||||||
Beginning cash position | -45.97%4.78M | -57.56%5.32M | -51.95%5.95M | -7.01%12.39M | -48.27%4.45M | -73.28%8.84M | -49.53%12.53M | 7.42%12.39M | -66.12%13.32M | -58.06%8.61M |
Current changes in cash | 106.13%272K | 87.23%-457K | -509.70%-676K | -517.31%-6.38M | -62.37%1.47M | 82.00%-4.43M | -143.85%-3.58M | -98.57%165K | 96.04%-1.03M | 152.52%3.89M |
Effect of exchange rate changes | -210.64%-52K | 223.08%16K | 300.00%42K | -154.00%-54K | 39.64%-67K | -59.48%47K | -114.94%-13K | -362.50%-21K | 0.00%100K | -165.29%-111K |
End cash Position | 12.22%5M | -45.97%4.78M | -57.56%5.32M | -51.95%5.95M | -51.95%5.95M | -48.27%4.45M | -73.28%8.84M | -49.53%12.53M | -7.01%12.39M | -7.01%12.39M |
Free cash flow | 166.11%4.84M | 10.60%-3.14M | 279.96%3.74M | 72.53%-12.38M | -210.88%-2.54M | 68.77%-7.32M | 77.28%-3.51M | 111.60%983K | -74.09%-45.05M | 130.23%2.29M |
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 | -- |
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