(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 | 0.14%30.7B | -7.07%26.64B | 22.71%28.85B | 11.20%101.75B | -19.90%18.92B | 31.27%30.66B | 47.60%28.67B | -6.36%23.51B | -0.17%91.5B | -5.29%23.61B |
Net income from continuing operations | 33.58%26.3B | 28.59%23.62B | 57.21%23.66B | 23.05%73.8B | 51.84%20.69B | 41.55%19.69B | 14.79%18.37B | -8.43%15.05B | -21.12%59.97B | -34.00%13.62B |
Operating gains losses | -327.96%-1.98B | 101.18%1.02B | -2,020.24%-1.78B | -85.09%823M | -128.32%-471M | -36.94%869M | -51.10%509M | -105.85%-84M | 144.98%5.52B | 167.11%1.66B |
Depreciation and amortization | 25.67%3.99B | 31.30%3.71B | 29.53%3.41B | -11.35%11.95B | 89.70%3.32B | -21.63%3.17B | -27.57%2.82B | -30.33%2.64B | 8.31%13.48B | -49.17%1.75B |
Deferred tax | 41.28%-1.07B | -30.72%-3.16B | 122.60%419M | 3.94%-7.76B | 13.20%-1.67B | 5.00%-1.82B | -12.48%-2.42B | 11.29%-1.85B | -546.96%-8.08B | -219.06%-1.92B |
Other non cash items | 57.91%1.41B | 27.01%851M | -69.75%334M | 24.32%4.33B | -46.53%1.67B | 433.53%891M | 980.65%670M | 688.57%1.1B | 1,735.21%3.48B | 22,342.86%3.11B |
Change In working capital | -278.98%-3.79B | -279.50%-5.27B | -279.39%-2.46B | -72.04%-3.85B | -3,653.98%-10.27B | 165.95%2.12B | 169.62%2.94B | 53.07%1.37B | -46.75%-2.24B | 112.99%289M |
-Change in receivables | 49.27%-1.43B | -3.70%-3.06B | -28.90%3.17B | -238.07%-7.83B | -41.24%-6.52B | -2,808.25%-2.82B | -49.72%-2.95B | 2.06%4.45B | 74.52%-2.32B | 20.69%-4.62B |
-Change in payables and accrued expense | -121.46%-3.09B | 5.45%1.86B | -20.91%-7.5B | 21.69%5.08B | -222.10%-4.85B | 256.08%14.38B | -31.81%1.76B | 3.33%-6.2B | -54.94%4.18B | -43.19%3.97B |
-Change in other current assets | 50.62%-802M | -3.70%-532M | -34.05%-1B | 57.53%-2.14B | 195.12%740M | 38.65%-1.62B | 39.29%-513M | 3.87%-746M | -173.35%-5.05B | -94.99%-778M |
-Change in other working capital | 119.57%1.53B | -176.35%-3.54B | -25.80%2.87B | 10.20%1.05B | -79.05%358M | -1,472.03%-7.81B | 216.25%4.64B | 3.81%3.87B | 538.26%951M | 156.95%1.71B |
Cash from discontinued investing activities | ||||||||||
Operating cash flow | 0.14%30.7B | -7.07%26.64B | 22.71%28.85B | 11.20%101.75B | -19.90%18.92B | 31.27%30.66B | 47.60%28.67B | -6.36%23.51B | -0.17%91.5B | -5.29%23.61B |
Investing cash flow | ||||||||||
Cash flow from continuing investing activities | -151.90%-18.01B | 74.25%-2.78B | -190.70%-8.56B | -33.33%-27.06B | 0.96%-6.17B | -758.34%-7.15B | -157.94%-10.8B | 67.45%-2.95B | 42.86%-20.3B | 43.47%-6.23B |
Net PPE purchase and sale | -62.15%-13.06B | -91.43%-13.19B | -91.00%-12.01B | -2.43%-32.25B | -45.08%-11.02B | -10.71%-8.06B | -0.88%-6.89B | 35.73%-6.29B | -27.78%-31.49B | -18.99%-7.6B |
Net business purchase and sale | -2,084.92%-2.75B | 91.28%-26M | -45.24%-61M | 92.90%-495M | 65.48%-29M | 97.77%-126M | 71.97%-298M | 75.72%-42M | -166.20%-6.97B | 78.18%-84M |
Net investment purchase and sale | -83.66%271M | 412.36%10.56B | -2.91%3.41B | -59.35%6.73B | 302.20%4.95B | -85.32%1.66B | -197.10%-3.38B | 534.72%3.51B | 288.13%16.57B | 128.29%1.23B |
Net other investing changes | -292.99%-2.47B | 42.67%-133M | 180.80%101M | -166.14%-1.05B | -129.73%-66M | -179.39%-628M | -204.98%-232M | -135.21%-125M | 193.72%1.59B | 122.00%222M |
Cash from discontinued investing activities | ||||||||||
Investing cash flow | -151.90%-18.01B | 74.25%-2.78B | -190.70%-8.56B | -33.33%-27.06B | 0.96%-6.17B | -758.34%-7.15B | -157.94%-10.8B | 67.45%-2.95B | 42.86%-20.3B | 43.47%-6.23B |
Financing cash flow | ||||||||||
Cash flow from continuing financing activities | -9.31%-20.09B | -17.12%-20.89B | -18.99%-19.71B | -3.35%-72.09B | -9.52%-19.31B | -1.57%-18.38B | -0.10%-17.84B | -2.18%-16.57B | -13.68%-69.76B | -6.77%-17.63B |
Net issuance payments of debt | 322.89%370M | 456.06%470M | -4,288.00%-1.1B | 36.45%-760M | -160.12%-437M | 75.37%-166M | 62.92%-132M | -1,350.00%-25M | 3.24%-1.2B | -46.09%-168M |
Net common stock issuance | 3.14%-15.29B | -4.78%-15.68B | -7.82%-15.7B | -3.72%-61.5B | -5.09%-16.19B | -2.57%-15.79B | 1.50%-14.97B | -9.45%-14.56B | -17.95%-59.3B | -14.35%-15.41B |
Cash dividends paid | ---2.46B | ---- | ---- | ---- | ---- | --0 | ---- | ---- | ---- | ---- |
Proceeds from stock option exercised by employees | -23.48%-3B | -17.29%-3.21B | -47.26%-2.93B | -5.77%-9.84B | -28.91%-2.68B | -19.16%-2.43B | -20.85%-2.74B | 31.79%-1.99B | 8.48%-9.3B | 28.87%-2.08B |
Net other financing activities | 9,400.00%285M | --0 | 166.67%8M | -77.14%8M | --0 | --3M | --2M | --3M | -88.71%35M | --25M |
Cash from discontinued financing activities | ||||||||||
Financing cash flow | -9.31%-20.09B | -17.12%-20.89B | -18.99%-19.71B | -3.35%-72.09B | -9.52%-19.31B | -1.57%-18.38B | -0.10%-17.84B | -2.18%-16.57B | -13.68%-69.76B | -6.77%-17.63B |
Net cash flow | ||||||||||
Beginning cash position | 5.00%27.23B | -5.52%24.49B | 9.91%24.05B | 4.46%21.88B | 39.66%30.7B | 44.56%25.93B | 24.12%25.92B | 4.46%21.88B | -20.86%20.95B | -7.31%21.98B |
Current changes in cash | -244.56%-7.41B | 9,480.65%2.97B | -85.73%570M | 79.86%2.59B | -2,610.74%-6.56B | 15.85%5.12B | 101.20%31M | 2,612.58%4B | 127.52%1.44B | 90.67%-242M |
Effect of exchange rate changes | 140.17%141M | -815.38%-238M | -350.00%-125M | 16.80%-421M | -168.61%-94M | 6.40%-351M | 92.93%-26M | -50.00%50M | -76.31%-506M | 175.69%137M |
End cash Position | -34.99%19.96B | 5.00%27.23B | -5.52%24.49B | 9.91%24.05B | 9.91%24.05B | 39.66%30.7B | 44.56%25.93B | 24.12%25.92B | 4.46%21.88B | 4.46%21.88B |
Free cash flow | -21.96%17.64B | -38.22%13.45B | -2.23%16.84B | 15.81%69.5B | -50.71%7.9B | 40.58%22.6B | 72.92%21.78B | 12.40%17.22B | -10.45%60.01B | -13.65%16.02B |
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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