(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 | |
---|---|---|---|---|---|---|---|---|---|---|
Operating cash flow (Indirect Method) | ||||||||||
Cash flow from continuing operating activities | -49.06%-38.06B | -80.82%6.12B | -398.15%-28.04B | -244.55%-12.59B | 14.49%-28.36B | -259.49%-25.53B | -29.72%31.9B | 148.14%9.4B | 38.27%8.71B | -209.54%-33.16B |
Net income from continuing operations | 45.29%2.99B | 150.25%3.04B | 27.77%4.13B | -24.38%8.52B | 51.43%2.01B | -32.94%2.06B | -58.46%1.22B | -17.90%3.23B | -47.95%11.26B | -66.30%1.33B |
Depreciation and amortization | -58.93%621M | -59.47%646M | -35.36%627M | 97.80%4.86B | 7.29%780M | 127.03%1.51B | 179.65%1.59B | 97.15%970M | 21.84%2.46B | 48.98%727M |
Deferred tax | 47.80%-202M | -18.01%-511M | -21.05%60M | 43.62%-1.36B | ---616M | ---387M | ---433M | --76M | -48,340.00%-2.41B | ---- |
Change in working capital | -45.02%-41.99B | -92.80%2.07B | -1,032.84%-35.02B | -195.00%-27.71B | 8.41%-31.18B | -352.64%-28.95B | -29.81%28.67B | 113.57%3.75B | 53.18%-9.39B | -234.60%-34.05B |
-Change in loans | -18.43%8.14B | -71.25%12.49B | -100.48%-537M | 265.44%161.86B | 95.57%-4.25B | -83.24%9.98B | 389.27%43.44B | 260.34%112.7B | -29.39%-97.84B | -740.11%-96B |
-Change in other working capital | -28.75%-50.13B | 29.41%-10.42B | 68.35%-34.48B | -314.35%-189.57B | -143.47%-26.93B | 19.08%-38.93B | -146.19%-14.77B | -355.55%-108.94B | 59.20%88.44B | 501.70%61.96B |
Cash from discontinued operating activities | ||||||||||
Operating cash flow | -49.06%-38.06B | -80.82%6.12B | -398.15%-28.04B | -244.55%-12.59B | 14.49%-28.36B | -259.49%-25.53B | -29.72%31.9B | 148.14%9.4B | 38.27%8.71B | -209.54%-33.16B |
Investing cash flow | ||||||||||
Cash flow from continuing investing activities | -264.57%-29.29B | -32.43%-5.24B | -303.44%-7.98B | 77.21%-17.31B | 46.88%-3.34B | 43.27%-8.03B | 89.71%-3.96B | 88.38%-1.98B | -149.34%-75.96B | 54.86%-6.29B |
Net investment purchase and sale | -179.73%-21.6B | -15.53%-4.54B | -230.07%-7.58B | 71.82%-13.41B | 120.03%534M | 42.26%-7.72B | 84.37%-3.93B | 64.20%-2.3B | -921.82%-47.58B | -13.93%-2.67B |
Net proceeds payment for loan | -2,452.54%-7.53B | -254.16%-612M | -890.54%-3.93B | 78.78%-5.35B | -38.29%-5.95B | -294.08%-295M | 103.61%397M | 104.93%497M | 28.98%-25.23B | 61.91%-4.3B |
Net PPE purchase and sale | -794.44%-161M | 77.67%-94M | 45.56%-98M | 192.32%962M | 132.50%1.58B | 97.26%-18M | 22.04%-421M | 65.71%-180M | -41.96%-1.04B | 328.96%680M |
Net business purchase and sale | --0 | --0 | --3.62B | 123.03%487M | 24,850.00%495M | --0 | 99.56%-8M | --0 | ---2.12B | ---2M |
Cash from discontinued investing activities | ||||||||||
Investing cash flow | -264.57%-29.29B | -32.43%-5.24B | -303.44%-7.98B | 77.21%-17.31B | 46.88%-3.34B | 43.27%-8.03B | 89.71%-3.96B | 88.38%-1.98B | -149.34%-75.96B | 54.86%-6.29B |
Financing cash flow | ||||||||||
Cash flow from continuing financing activities | 60.51%10.34B | -117.07%-2.37B | 134.91%7.17B | -53.36%27.8B | 392.56%28.02B | 297.41%6.44B | -3.94%13.89B | -138.69%-20.54B | -55.76%59.6B | -125.04%-9.58B |
Increase decrease in deposit | 114.05%10.48B | -133.34%-7.47B | 206.15%12.15B | 41.49%39.72B | 314.89%23.85B | -23.12%4.9B | 173.37%22.42B | -146.50%-11.44B | -72.89%28.07B | -138.37%-11.1B |
Net issuance payments of debt | -130.67%-776M | 202.82%7.28B | 72.84%-1.43B | -112.35%-4.71B | 27.55%5.1B | 180.68%2.53B | -197.43%-7.08B | -117.51%-5.26B | -2.51%38.15B | -56.82%4B |
Net commonstock issuance | 33.33%-1B | -366.67%-3.5B | 41.08%-1.5B | -65.60%-5.8B | 33.33%-1B | -50.00%-1.5B | -50.00%-750M | -409.20%-2.55B | 32.69%-3.5B | -200.00%-1.5B |
Net preferred stock issuance | 302.22%2B | ---- | ---- | --496M | --0 | --496M | ---- | ---- | --0 | --0 |
Cash dividends paid | -6.37%-1.17B | -3.95%-1.05B | -10.86%-1.12B | -13.77%-4.19B | -5.13%-1.07B | -10.23%-1.1B | -18.09%-1.01B | -24.29%-1.01B | -35.12%-3.68B | -23.24%-1.01B |
Net other financing activities | -27.61%810M | 161.71%827M | -223.08%-924M | 304.80%2.28B | 2,725.00%1.13B | 189.90%1.12B | -7.60%316M | -39.51%-286M | 13.28%563M | -93.72%40M |
Cash from discontinued financing activities | ||||||||||
Financing cash flow | 60.51%10.34B | -117.07%-2.37B | 134.91%7.17B | -53.36%27.8B | 392.56%28.02B | 297.41%6.44B | -3.94%13.89B | -138.69%-20.54B | -55.76%59.6B | -125.04%-9.58B |
Net cash flow | ||||||||||
Beginning cash position | -23.85%206.33B | -8.70%209.39B | -0.10%241.58B | -7.36%241.83B | -15.61%239.88B | -6.12%270.93B | -16.35%229.33B | -7.36%241.83B | 67.50%261.04B | 34.19%284.25B |
Current changes in cash | -110.16%-57.01B | -103.57%-1.49B | -119.90%-28.85B | 72.56%-2.1B | 92.49%-3.68B | -881.25%-27.13B | 95.81%41.83B | -179.28%-13.12B | -106.92%-7.65B | -189.83%-49.03B |
Effect of exchange rate changes | 236.72%5.37B | -598.66%-1.57B | -639.52%-3.35B | 116.01%1.85B | -18.50%5.38B | 49.83%-3.93B | 96.76%-224M | 118.14%620M | -115.01%-11.56B | --6.6B |
End cash position | -35.51%154.69B | -23.85%206.33B | -8.70%209.39B | -0.10%241.58B | -0.10%241.58B | -15.61%239.88B | -6.12%270.93B | -16.35%229.33B | -7.36%241.83B | -7.36%241.83B |
Free cash flow | -47.94%-38.53B | -82.14%5.58B | -424.00%-28.54B | -400.46%-14.9B | 14.78%-28.9B | -273.38%-26.04B | -29.56%31.24B | 142.99%8.81B | 204.11%4.96B | -216.33%-33.92B |
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 | -- | -- | -- | -- | Unqualified Opinion with Explanatory Notes | -- |
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