(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 | 0.95%119.3M | -9.17%168.15M | 10.06%76.15M | 83.25%499.82M | -12.85%127.32M | 842.59%118.18M | 163.16%185.13M | 58.07%69.19M | 17.25%272.75M | 134.21%146.09M |
Net income from continuing operations | -37.80%-94.54M | -74.30%-145.94M | -257.89%-315.22M | -793.20%-282.08M | -14.87%-41.68M | -339.74%-68.6M | -1,465.84%-83.73M | -308.58%-88.08M | -38.95%40.69M | -267.91%-36.28M |
Operating gains losses | 18.38%-39.52M | -435.05%-38.19M | 276.21%400K | 71.58%-75.93M | 72.52%-20.14M | 66.07%-48.42M | 12.83%-7.14M | 99.47%-227K | -384.51%-267.18M | -405.35%-73.29M |
Depreciation and amortization | -9.58%174.89M | -5.35%185.04M | -2.88%189.95M | 62.40%775.89M | -3.34%191.41M | 15.60%193.41M | 241.66%195.49M | 254.11%195.58M | 131.36%477.78M | 274.44%198.01M |
Other non cash items | 23.70%-6.9M | 32.43%-4.8M | 18.23%-7.88M | -53.01%-34.25M | 17.30%-8.46M | 1.95%-9.05M | -368.87%-7.11M | -584.02%-9.63M | -376.80%-22.38M | -884.50%-10.23M |
Change In working capital | 6.95%-9.23M | 25.91%35.23M | 7.34%-62.47M | -116.06%-70.9M | -343.18%-21.55M | 76.37%-9.92M | 111.32%27.98M | -420.76%-67.41M | -284.77%-32.81M | 2,354.57%8.86M |
-Change in payables and accrued expense | -173.29%-4.79M | 2.39%29.03M | 22.09%-52.16M | -177.61%-18.78M | 214.74%13.29M | -83.20%6.54M | 213.43%28.35M | -448.26%-66.95M | 2,983.31%24.19M | -998.48%-11.58M |
-Change in other current assets | 91.24%-1.5M | 217.39%10.73M | -79.29%-14.99M | -114.37%-55.95M | -210.34%-21.31M | 13.35%-17.13M | -394.62%-9.14M | -226.18%-8.36M | -128.21%-26.1M | -361.25%-6.87M |
-Change in other current liabilities | -536.46%-2.93M | -151.66%-4.53M | -40.68%4.69M | 112.38%3.83M | -149.51%-13.52M | 101.10%672K | 702.56%8.77M | 331.75%7.9M | -924.82%-30.91M | 840.32%27.31M |
Cash from discontinued investing activities | ||||||||||
Operating cash flow | 0.95%119.3M | -9.17%168.15M | 10.06%76.15M | 83.25%499.82M | -12.85%127.32M | 842.59%118.18M | 163.16%185.13M | 58.07%69.19M | 17.25%272.75M | 134.21%146.09M |
Investing cash flow | ||||||||||
Cash flow from continuing investing activities | 178.87%330.76M | 540.10%209.95M | -240.91%-58.56M | -78.64%349.14M | 13.50%236.68M | -93.05%118.61M | 71.59%-47.71M | 136.69%41.56M | 390.57%1.63B | 205.42%208.53M |
Net PPE purchase and sale | -9.72%-68.97M | -99.05%-67.39M | 16.24%-50.39M | -41.26%-231.03M | -12.79%-74.16M | -20.50%-62.86M | -51.78%-33.85M | -157.91%-60.16M | -62.42%-163.54M | -111.80%-65.75M |
Net business purchase and sale | --0 | --0 | --0 | -100.36%-3.82M | --0 | --0 | --0 | 92.29%-3.82M | 1,282.89%1.06B | 124.44%9.78M |
Net other investing changes | 84.22%-302K | 60.65%-2.4M | 99.74%-16K | -20.21%-27.22M | 34.47%-13.02M | 41.50%-1.91M | -101,550.00%-6.09M | -1,359.35%-6.2M | 87.86%-22.64M | 75.71%-19.87M |
Cash from discontinued investing activities | ||||||||||
Investing cash flow | 178.87%330.76M | 540.10%209.95M | -240.91%-58.56M | -78.64%349.14M | 13.50%236.68M | -93.05%118.61M | 71.59%-47.71M | 136.69%41.56M | 390.57%1.63B | 205.42%208.53M |
Financing cash flow | ||||||||||
Cash flow from continuing financing activities | -87.75%-465.67M | -139.34%-362.51M | 85.94%-17.12M | 52.44%-884.22M | -3.34%-362.96M | 85.38%-248.03M | -238.74%-151.46M | -254.11%-121.77M | -667.36%-1.86B | -364.88%-351.24M |
Net issuance payments of debt | -56.56%-201.37M | 193.83%29.66M | 13,454.69%102.56M | 11.61%-404.16M | -5.83%-243.16M | 73.62%-128.62M | -120.26%-31.61M | -100.74%-768K | -359.40%-457.23M | -358.63%-229.76M |
Net common stock issuance | -365,995.12%-150.02M | -313,757.47%-273.06M | 87.25%-214K | -111.00%-2.17M | 80.24%-444K | 0.00%41K | -173.11%-87K | -107.70%-1.68M | -93.98%19.71M | -102.54%-2.25M |
Cash dividends paid | 4.76%-112.45M | 0.60%-117.35M | -0.18%-118.27M | 66.44%-472.24M | -0.08%-118.07M | 90.13%-118.07M | -151.14%-118.05M | -152.42%-118.05M | -702.12%-1.41B | -164.34%-117.98M |
Net other financing activities | -33.09%-1.84M | -2.98%-1.76M | 5.74%-1.2M | 60.88%-5.65M | -2.71%-1.29M | ---1.38M | ---1.71M | ---1.27M | -3,467.41%-14.45M | -718.95%-1.25M |
Cash from discontinued financing activities | ||||||||||
Financing cash flow | -87.75%-465.67M | -139.34%-362.51M | 85.94%-17.12M | 52.44%-884.22M | -3.34%-362.96M | 85.38%-248.03M | -238.74%-151.46M | -254.11%-121.77M | -667.36%-1.86B | -364.88%-351.24M |
Net cash flow | ||||||||||
Beginning cash position | 16.32%41.77M | -47.59%26.17M | -57.84%25.7M | 362.70%60.96M | -57.16%24.67M | 4.64%35.9M | 120.06%49.94M | 362.70%60.96M | -13.91%13.18M | 259.89%57.58M |
Current changes in cash | -38.89%-15.61M | 211.08%15.59M | 104.29%473K | -173.79%-35.26M | -69.48%1.03M | -148.28%-11.24M | -220.82%-14.04M | -215.77%-11.02M | 2,345.58%47.79M | 219.58%3.38M |
End cash Position | -7.57%22.8M | 16.32%41.77M | -47.59%26.17M | -57.84%25.7M | -57.84%25.7M | -57.16%24.67M | 4.64%35.9M | 120.06%49.94M | 362.70%60.96M | 362.70%60.96M |
Free cash flow | -9.02%50.33M | -33.39%100.77M | 185.28%25.76M | 146.14%268.79M | -33.83%53.16M | 239.61%55.32M | 214.87%151.28M | -55.83%9.03M | -17.23%109.2M | 156.42%80.34M |
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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