(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 | 16.31%616.53M | 24.98%534.32M | 20.08%506.24M | 20.80%624.76M | 20.80%624.76M | 10.02%530.07M | 5.03%427.52M | -25.66%421.57M | -11.68%517.17M | -11.68%517.17M |
-Cash and cash equivalents | 58.25%462.29M | 71.02%366.75M | 61.08%321.75M | 42.07%417.66M | 42.07%417.66M | 14.52%292.12M | 22.53%214.45M | -44.65%199.75M | -25.69%293.99M | -25.69%293.99M |
-Short-term investments | -35.18%154.24M | -21.36%167.57M | -16.83%184.49M | -7.21%207.1M | -7.21%207.1M | 4.96%237.95M | -8.17%213.07M | 7.61%221.82M | 17.52%223.18M | 17.52%223.18M |
Receivables | 2.86%1.05B | 10.10%1.02B | 7.36%735.83M | 22.07%861.69M | 22.07%861.69M | 19.31%1.03B | 28.95%925.15M | 22.27%685.38M | 15.72%705.9M | 15.72%705.9M |
-Accounts receivable | -1.36%733.02M | 11.38%709.25M | 8.21%429.83M | 29.03%598.71M | 29.03%598.71M | 20.21%743.09M | 20.77%636.8M | 4.40%397.23M | -0.13%463.99M | -0.13%463.99M |
-Other receivables | 13.95%321.65M | 7.29%309.38M | 6.20%306M | 8.71%262.99M | 8.71%262.99M | 17.01%282.28M | 51.61%288.35M | 60.06%288.15M | 66.34%241.92M | 66.34%241.92M |
Inventory | 17.20%107.97M | 29.20%119.06M | 19.47%116.96M | 19.69%103.9M | 19.69%103.9M | 13.33%92.13M | 17.19%92.15M | 31.65%97.89M | 40.09%86.81M | 40.09%86.81M |
Other current assets | -26.43%34.93M | -26.32%34.17M | 42.71%59.08M | 41.94%53.1M | 41.94%53.1M | -69.80%47.48M | -72.29%46.38M | -76.88%41.4M | -78.89%37.41M | -78.89%37.41M |
Total current assets | 7.02%1.81B | 14.42%1.71B | 13.79%1.42B | 21.98%1.64B | 21.98%1.64B | 7.30%1.7B | -6.41%1.49B | -21.75%1.25B | -26.27%1.35B | -26.27%1.35B |
Non current assets | ||||||||||
Net PPE | 28.63%805.98M | 21.32%749.25M | 29.51%745.1M | 32.73%741.04M | 32.73%741.04M | 13.84%626.6M | 21.10%617.59M | 15.26%575.34M | 15.63%558.29M | 15.63%558.29M |
-Gross PPE | 12.27%1.86B | 8.92%1.78B | 11.49%1.77B | 12.57%1.75B | 12.57%1.75B | 7.21%1.66B | 13.37%1.64B | 11.41%1.58B | 11.76%1.56B | 11.76%1.56B |
-Accumulated depreciation | -2.33%-1.06B | -1.42%-1.04B | -1.21%-1.02B | -1.28%-1.01B | -1.28%-1.01B | -3.54%-1.03B | -9.16%-1.02B | -9.33%-1.01B | -9.70%-997.09M | -9.70%-997.09M |
Goodwill and other intangible assets | 362.14%343.2M | 223.58%254.34M | 271.82%274.04M | 228.44%272.33M | 228.44%272.33M | 0.76%74.26M | 46.33%78.6M | 37.21%73.7M | 31.16%82.92M | 31.16%82.92M |
-Goodwill | 184.96%211.62M | 86.72%146.77M | 118.23%160.84M | 110.31%155M | 110.31%155M | 0.76%74.26M | 46.33%78.6M | 37.21%73.7M | 37.21%73.7M | 37.21%73.7M |
-Other intangible assets | --131.58M | --107.58M | --113.2M | 1,173.58%117.32M | 1,173.58%117.32M | ---- | ---- | ---- | -3.03%9.21M | -3.03%9.21M |
Investments and advances | -1.99%94.92M | -4.77%93.5M | -7.24%92.68M | -13.41%92.91M | -13.41%92.91M | -3.38%96.85M | 118.78%98.19M | 123.20%99.91M | 175.34%107.29M | 175.34%107.29M |
Non current deferred assets | -82.82%4.99M | -36.15%19.99M | -63.28%8.11M | -63.17%8.18M | -63.17%8.18M | -36.38%29.04M | 22.96%31.3M | -14.68%22.08M | -8.01%22.21M | -8.01%22.21M |
Other non current assets | 15.75%67.73M | -2.66%58.12M | -5.19%57M | 11.42%55.63M | 11.42%55.63M | 0.43%58.52M | -6.72%59.71M | -8.76%60.12M | -14.48%49.93M | -14.48%49.93M |
Total non current assets | 48.75%1.32B | 32.73%1.18B | 41.60%1.18B | 42.58%1.17B | 42.58%1.17B | 6.88%885.27M | 26.84%885.39M | 20.56%831.15M | 22.94%820.64M | 22.94%820.64M |
Total assets | 21.34%3.13B | 21.24%2.88B | 24.92%2.6B | 29.78%2.81B | 29.78%2.81B | 7.16%2.58B | 3.72%2.38B | -8.97%2.08B | -13.11%2.17B | -13.11%2.17B |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Payables | 6.91%509.98M | 17.83%450.66M | 17.71%347.38M | 22.12%408.36M | 22.12%408.36M | 19.77%477.03M | 15.29%382.46M | 3.41%295.13M | 3.11%334.39M | 3.11%334.39M |
-accounts payable | 6.91%509.98M | 17.83%450.66M | 17.71%347.38M | 22.12%408.36M | 22.12%408.36M | 19.77%477.03M | 15.29%382.46M | 3.41%295.13M | 3.11%334.39M | 3.11%334.39M |
Current accrued expenses | -4.12%151.61M | 0.39%159.77M | 4.12%163.3M | -1.54%154.71M | -1.54%154.71M | -46.31%158.13M | -49.26%159.15M | -49.94%156.84M | -50.40%157.12M | -50.40%157.12M |
Current provisions | ---- | ---- | ---- | ---- | ---- | -18.64%16.7M | 1.65%20.11M | -20.39%18.54M | ---- | ---- |
Current debt and capital lease obligation | 6.18%19.71M | -6.25%17.77M | 195.94%56.25M | 182.25%56.76M | 182.25%56.76M | 1,190.89%18.56M | 1,226.03%18.95M | 117.61%19.01M | 130.42%20.11M | 130.42%20.11M |
-Current debt | -25.49%1.1M | 3.00%1.51M | 2,646.29%39.99M | 2,659.64%39.93M | 2,659.64%39.93M | 2.57%1.48M | 2.59%1.47M | -83.33%1.46M | -83.42%1.45M | -83.42%1.45M |
-Current capital lease obligation | 8.92%18.61M | -7.02%16.26M | -7.33%16.27M | -9.84%16.83M | -9.84%16.83M | --17.09M | --17.48M | --17.55M | --18.66M | --18.66M |
Current deferred liabilities | 42.55%292.64M | 71.17%262.2M | 58.05%223.96M | 40.72%243.85M | 40.72%243.85M | 20.39%205.29M | -3.99%153.18M | -0.26%141.7M | -13.37%173.29M | -13.37%173.29M |
Other current liabilities | -7.75%74.74M | -16.51%44.93M | 159.43%75.43M | 91.30%60.79M | 91.30%60.79M | 22.11%81.02M | -40.54%53.82M | -66.87%29.08M | -75.93%31.78M | -75.93%31.78M |
Current liabilities | 10.26%1.16B | 17.20%1.02B | 29.46%936.44M | 29.12%1.03B | 29.12%1.03B | 1.49%1.06B | -12.77%867.23M | -22.98%723.37M | -25.41%797.59M | -25.41%797.59M |
Non current liabilities | ||||||||||
Long term debt and capital lease obligation | 81.27%808.44M | 61.43%802.43M | 83.63%578.32M | 112.57%678.33M | 112.57%678.33M | 39.56%445.98M | 56.33%497.09M | -2.57%314.93M | -12.36%319.1M | -12.36%319.1M |
-Long term debt | 82.64%737.46M | 60.77%737.44M | 78.82%513.2M | 114.26%614.78M | 114.26%614.78M | 40.75%403.79M | 59.93%458.69M | -1.22%287M | -13.36%286.93M | -13.36%286.93M |
-Long term capital lease obligation | 68.21%70.98M | 69.27%65M | 133.10%65.12M | 97.54%63.55M | 97.54%63.55M | 29.04%42.2M | 23.14%38.4M | -14.53%27.93M | -2.30%32.17M | -2.30%32.17M |
Non current deferred liabilities | -10.28%3.42M | -28.42%3.27M | 116.69%3.64M | 96.09%3.71M | 96.09%3.71M | --3.81M | --4.57M | --1.68M | 1.89%1.89M | 1.89%1.89M |
Other non current liabilities | 25.33%84.56M | 8.48%71.85M | 10.84%72.04M | 16.29%74.65M | 16.29%74.65M | 11.22%67.47M | 7.06%66.23M | 4.01%65M | 0.20%64.2M | 0.20%64.2M |
Total non current liabilities | 73.30%896.42M | 54.53%877.55M | 71.38%654M | 96.44%756.69M | 96.44%756.69M | 36.04%517.27M | 49.50%567.89M | -1.07%381.61M | -10.43%385.19M | -10.43%385.19M |
Total liabilities | 30.98%2.06B | 31.97%1.89B | 43.93%1.59B | 51.05%1.79B | 51.05%1.79B | 10.73%1.57B | 4.44%1.44B | -16.60%1.1B | -21.11%1.18B | -21.11%1.18B |
Shareholders'equity | ||||||||||
Share capital | -0.46%437K | -0.46%437K | 0.46%441K | 0.46%439K | 0.46%439K | 0.46%439K | -0.45%439K | -3.30%439K | -4.59%437K | -4.59%437K |
-common stock | -0.46%437K | -0.46%437K | 0.46%441K | 0.46%439K | 0.46%439K | 0.46%439K | -0.45%439K | -3.30%439K | -4.59%437K | -4.59%437K |
-Preferred stock | --0 | --0 | --0 | --0 | --0 | --0 | --0 | --0 | --0 | --0 |
Retained earnings | 18.11%568.88M | 15.33%495.68M | 2.75%465.05M | 4.25%501.84M | 4.25%501.84M | 0.03%481.64M | 3.83%429.8M | 12.43%452.58M | 17.17%481.38M | 17.17%481.38M |
Paid-in capital | -7.42%437.34M | -7.49%435.27M | 1.67%479.68M | 0.79%474.13M | 0.79%474.13M | 0.79%472.38M | 0.72%470.51M | -8.44%471.78M | -15.96%470.41M | -15.96%470.41M |
Gains losses not affecting retained earnings | -51.12%437K | -66.04%270K | 97.55%1.29M | 11.80%881K | 11.80%881K | 67.10%894K | -66.71%795K | -58.49%653K | 123.46%788K | 123.46%788K |
Total stockholders'equity | 5.42%1.01B | 3.34%931.66M | 2.27%946.46M | 2.55%977.3M | 2.55%977.3M | 0.44%955.35M | 1.99%901.54M | 0.61%925.46M | -1.52%953.02M | -1.52%953.02M |
Noncontrolling interests | 22.17%62.59M | 39.72%55.76M | 23.84%58.15M | 54.59%49.67M | 54.59%49.67M | 43.82%51.23M | 19.79%39.91M | 25.80%46.95M | 15.24%32.13M | 15.24%32.13M |
Total equity | 6.27%1.07B | 4.88%987.42M | 3.31%1B | 4.25%1.03B | 4.25%1.03B | 2.01%1.01B | 2.64%941.45M | 1.59%972.41M | -1.05%985.15M | -1.05%985.15M |
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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