(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 | (Q3)Sep 30, 2022 | |
---|---|---|---|---|---|---|---|---|---|---|
Assets | ||||||||||
Current assets | ||||||||||
Cash, cash equivalents and short term investments | 10.25%122.69M | -2.69%106.93M | 9.03%108.01M | 9.03%108.01M | 70.66%140.24M | 80.70%111.28M | 23.68%109.88M | 4.38%99.06M | 4.38%99.06M | 95.51%82.18M |
-Cash and cash equivalents | 10.39%122.34M | 1.27%106.56M | 9.17%107.61M | 9.17%107.61M | 71.14%139.83M | 81.41%110.83M | 19.32%105.22M | 5.35%98.57M | 5.35%98.57M | 140.43%81.71M |
-Short-term investments | -23.89%344K | -92.02%372K | -19.18%396K | -19.18%396K | -12.74%411K | -7.76%452K | 609.74%4.66M | -63.32%490K | -63.32%490K | -94.15%471K |
Receivables | -6.87%54.23M | -7.85%60.09M | 12.29%61.91M | 12.29%61.91M | 39.42%60.68M | 27.98%58.23M | 30.20%65.2M | 33.47%55.13M | 33.47%55.13M | -25.72%43.52M |
-Accounts receivable | -6.87%54.23M | -7.85%60.09M | 12.29%61.91M | 12.29%61.91M | 39.42%60.68M | 32.70%58.23M | 33.64%65.2M | 33.47%55.13M | 33.47%55.13M | -25.72%43.52M |
Inventory | -69.00%5.64M | -4.57%18.46M | -7.10%14.6M | -7.10%14.6M | -17.34%15.31M | 13.36%18.19M | 2.54%19.35M | -11.32%15.71M | -11.32%15.71M | -21.70%18.52M |
Prepaid assets | 33.55%11.74M | 91.58%15.05M | 137.79%16.22M | 137.79%16.22M | 52.33%11.89M | 28.50%8.79M | 18.33%7.86M | 63.83%6.82M | 63.83%6.82M | 35.36%7.81M |
Restricted cash | 139.57%9.18M | 161.62%9.92M | 73.83%10.44M | 73.83%10.44M | -35.66%3.57M | -32.29%3.83M | -41.64%3.79M | -9.76%6.01M | -9.76%6.01M | -14.91%5.56M |
Other current assets | 3.72%5.58M | 27.38%6.09M | -11.79%5.48M | -11.79%5.48M | -53.90%3.76M | 59.67%5.38M | 103.88%4.78M | 163.68%6.21M | 163.68%6.21M | -48.78%8.16M |
Total current assets | -11.15%216.13M | -7.83%227.82M | 0.97%229.83M | 0.97%229.83M | 25.93%270.24M | 20.97%243.24M | 32.17%247.19M | 13.62%227.63M | 13.62%227.63M | 40.73%214.6M |
Non current assets | ||||||||||
Net PPE | 551.76%22.06M | 558.84%18.18M | 522.71%17.33M | 522.71%17.33M | 413.24%7.99M | 72.26%3.39M | 688.57%2.76M | 42.50%2.78M | 42.50%2.78M | 453.74%1.56M |
-Gross PPE | 551.76%22.06M | 558.84%18.18M | 273.35%19.98M | 273.35%19.98M | 413.24%7.99M | 72.26%3.39M | 688.57%2.76M | 18.96%5.35M | 18.96%5.35M | 453.74%1.56M |
-Accumulated depreciation | ---- | ---- | -3.12%-2.65M | -3.12%-2.65M | ---- | ---- | ---- | -0.90%-2.57M | -0.90%-2.57M | ---- |
Goodwill and other intangible assets | 17.61%15.21M | -2.99%12.64M | -3.04%12.73M | -3.04%12.73M | -3.01%12.83M | -13.93%12.93M | -14.48%13.03M | -2.93%13.13M | -2.93%13.13M | -54.99%13.23M |
-Goodwill | 26.61%12.66M | 0.00%10M | 0.00%10M | 0.00%10M | 0.00%10M | -13.94%10M | -14.61%10M | 0.00%10M | 0.00%10M | -60.99%10M |
-Other intangible assets | -13.05%2.55M | -12.86%2.64M | -12.74%2.73M | -12.74%2.73M | -12.31%2.83M | -13.91%2.93M | -14.05%3.03M | -11.25%3.13M | -11.25%3.13M | -14.23%3.23M |
Investments and advances | --3.83M | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
Long-term notes receivables | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | --1.51M |
Financial assets | -61.09%307K | -68.37%329K | -72.09%352K | -72.09%352K | -61.72%730K | -90.70%789K | --1.04M | 80.40%1.26M | 80.40%1.26M | --1.91M |
Non current deferred assets | -10.17%5.21M | -10.33%5.2M | -10.33%5.2M | -10.33%5.2M | 11.45%5.8M | 26.59%5.8M | 11.43%5.8M | 11.45%5.8M | 11.45%5.8M | 159.50%5.2M |
Non current prepaid assets | -0.80%7.28M | 10.37%8.1M | 8.30%7.95M | 8.30%7.95M | 44.60%7.35M | 43.41%7.34M | --7.34M | 50.83%7.34M | 50.83%7.34M | --5.09M |
Other non current assets | 323.10%52.75M | 253.41%56.03M | 190.62%57.16M | 190.62%57.16M | -35.93%10.75M | 317.97%12.47M | 28.18%15.85M | 585.26%19.67M | 585.26%19.67M | 77.53%16.77M |
Total non current assets | 149.70%106.66M | 119.30%100.48M | 101.51%100.72M | 101.51%100.72M | 0.41%45.45M | 11.95%42.71M | 38.17%45.82M | 71.64%49.98M | 71.64%49.98M | 10.04%45.26M |
Total assets | 12.88%322.78M | 12.05%328.3M | 19.07%330.56M | 19.07%330.56M | 21.49%315.69M | 19.53%285.96M | 33.07%293.01M | 20.98%277.62M | 20.98%277.62M | 34.21%259.86M |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Payables | 2.41%35.8M | -32.44%32.14M | -27.74%34.73M | -27.74%34.73M | 12.48%40.99M | -6.13%34.96M | 25.34%47.57M | 95.46%48.05M | 95.46%48.05M | -21.30%36.44M |
-accounts payable | 11.63%26.59M | 12.63%22.41M | 10.14%27.88M | 10.14%27.88M | 32.34%24.86M | -9.06%23.82M | -7.30%19.89M | 74.08%25.31M | 74.08%25.31M | -52.76%18.78M |
-Total tax payable | -17.59%9.06M | -65.14%9.61M | -70.33%6.7M | -70.33%6.7M | -8.62%16.01M | 0.85%11M | 68.66%27.58M | 137.34%22.58M | 137.34%22.58M | 172.28%17.52M |
-Due to related parties current | 4.17%150K | 22.45%120K | -12.12%145K | -12.12%145K | -11.11%120K | -2.70%144K | -30.50%98K | -68.98%165K | -68.98%165K | 23.85%135K |
Current accrued expenses | 16.62%35.29M | 47.40%53.82M | 41.03%44.29M | 41.03%44.29M | 7.26%44.84M | -10.40%30.26M | -13.62%36.51M | -17.36%31.41M | -17.36%31.41M | -18.57%41.8M |
Current debt and capital lease obligation | --185K | --231K | 23.60%309K | 23.60%309K | ---- | ---- | ---- | --250K | --250K | ---- |
-Current capital lease obligation | --185K | --231K | 23.60%309K | 23.60%309K | ---- | ---- | ---- | --250K | --250K | ---- |
Current deferred liabilities | --4.01M | --3.69M | 217.34%5.58M | 217.34%5.58M | ---- | ---- | ---- | --1.76M | --1.76M | ---- |
Other current liabilities | -55.87%8.1M | -42.61%10.71M | -38.80%8.25M | -38.80%8.25M | 153.33%19.97M | 325.93%18.36M | 73.03%18.66M | -74.91%13.48M | -74.91%13.48M | 269.65%7.88M |
Current liabilities | -4.38%83.38M | -4.02%100.59M | -0.95%98.25M | -0.95%98.25M | 22.84%105.79M | 15.76%87.2M | 15.15%104.8M | -14.70%99.2M | -14.70%99.2M | -20.32%86.12M |
Non current liabilities | ||||||||||
Derivative product liabilities | ---- | ---- | ---- | ---- | --12K | -89.93%163K | --115K | ---- | ---- | ---- |
Other non current liabilities | 2,450.36%49.17M | 2,576.95%47.62M | 1,053.83%47.16M | 1,053.83%47.16M | -14.45%1.85M | 13.41%1.93M | -38.36%1.78M | 110.02%4.09M | 110.02%4.09M | -27.18%2.16M |
Total non current liabilities | 1,695.07%49.85M | 1,772.25%48.3M | 901.36%47.8M | 901.36%47.8M | -78.33%2.53M | -73.95%2.78M | -10.60%2.58M | 100.21%4.77M | 100.21%4.77M | 293.29%11.66M |
Total liabilities | 48.08%133.23M | 38.66%148.89M | 40.47%146.05M | 40.47%146.05M | 10.77%108.32M | 4.64%89.97M | 14.36%107.38M | -12.39%103.97M | -12.39%103.97M | -11.95%97.78M |
Shareholders'equity | ||||||||||
Share capital | 0.33%305K | -96.01%305K | -96.48%304K | -96.48%304K | -98.21%304K | -98.31%304K | -61.82%7.65M | -56.82%8.65M | -56.82%8.65M | -14.96%17.03M |
-common stock | 0.33%305K | 6.27%305K | 5.92%304K | 5.92%304K | 6.29%304K | 7.42%304K | 1.77%287K | 1.77%287K | 1.77%287K | 1.42%286K |
-Preferred stock | --0 | --0 | --0 | --0 | --0 | --0 | -62.73%7.36M | -57.66%8.36M | -57.66%8.36M | -15.20%16.74M |
Retained earnings | -0.77%73.78M | 7.93%66.2M | 22.82%60.2M | 22.82%60.2M | 149.44%86.76M | 304.96%74.36M | 553.31%61.33M | 268.33%49.01M | 268.33%49.01M | 161.37%34.78M |
Paid-in capital | 2.40%158.01M | 6.85%157.55M | 6.52%156.1M | 6.52%156.1M | 6.46%154.95M | 6.55%154.3M | 2.33%147.45M | 2.30%146.55M | 2.30%146.55M | 2.66%145.55M |
Less: Treasury stock | 47.36%31.85M | 52.72%29.29M | 19.21%22.66M | 19.21%22.66M | 19.19%22.47M | 16.71%21.61M | 35.94%19.18M | 35.46%19.01M | 35.46%19.01M | 35.41%18.85M |
Gains losses not affecting retained earnings | -6.56%1.84M | -200.84%-1.91M | 71.29%3.3M | 71.29%3.3M | 145.95%1.41M | 74.98%1.97M | -45.84%1.9M | -39.05%1.93M | -39.05%1.93M | -202.71%-3.08M |
Total stockholders'equity | -3.46%202.08M | -3.16%192.86M | 5.41%197.24M | 5.41%197.24M | 25.95%220.96M | 27.78%209.31M | 42.27%199.14M | 51.78%187.12M | 51.78%187.12M | 86.22%175.44M |
Noncontrolling interests | 6.01%-12.52M | 0.51%-13.44M | 5.51%-12.73M | 5.51%-12.73M | -1.66%-13.59M | -26.24%-13.33M | 1.29%-13.51M | -7.83%-13.47M | -7.83%-13.47M | -14.73%-13.36M |
Total equity | -3.28%189.55M | -3.35%179.42M | 6.26%184.51M | 6.26%184.51M | 27.95%207.37M | 27.88%195.99M | 46.99%185.63M | 56.73%173.64M | 56.73%173.64M | 96.30%162.07M |
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 | -- | -- | -- | -- | Unqualified Opinion | -- | -- |
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