(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 | 19.32%281.71M | -31.37%266.19M | -0.10%355.44M | -0.10%355.44M | -15.91%245.88M | -26.05%236.09M | -6.74%387.87M | -31.90%355.8M | -31.90%355.8M | -50.21%292.4M |
-Cash and cash equivalents | 198.57%41.75M | 15.75%60.07M | -19.61%35.67M | -19.61%35.67M | -35.07%37.14M | -68.20%13.98M | -40.17%51.9M | -88.88%44.37M | -88.88%44.37M | -90.26%57.2M |
-Short-term investments | 8.04%239.96M | -38.65%206.11M | 2.68%319.78M | 2.68%319.78M | -11.25%208.74M | -19.32%222.11M | 2.07%335.97M | 152.29%311.43M | 152.29%311.43M | --235.2M |
Receivables | -32.41%95.98M | 6,362.77%118.72M | 248.33%11.47M | 248.33%11.47M | 21.56%141.15M | 34.12%142M | 222.85%1.84M | 365.63%3.29M | 365.63%3.29M | 2,744.44%116.11M |
-Accounts receivable | 366.40%5.9M | 755.54%8.56M | 644.70%8.56M | 644.70%8.56M | -37.39%844K | 59.32%1.27M | 931.96%1M | 340.61%1.15M | 340.61%1.15M | -66.98%1.35M |
-Notes receivable | -36.89%88.09M | --109.17M | ---- | ---- | 21.97%138.12M | 34.08%139.57M | ---- | ---- | ---- | --113.23M |
-Other receivables | 71.37%1.99M | 18.66%992K | 35.53%2.9M | 35.53%2.9M | 43.26%2.19M | 17.71%1.16M | 77.12%836K | 380.27%2.14M | 380.27%2.14M | --1.53M |
Inventory | --19.22M | --16.25M | 141.60%12.48M | 141.60%12.48M | ---- | ---- | ---- | --5.16M | --5.16M | ---- |
Prepaid assets | --4.43M | --5.14M | 44.13%5.7M | 44.13%5.7M | ---- | ---- | ---- | --3.95M | --3.95M | ---- |
Other current assets | -73.44%3.52M | -71.23%3.64M | 43.41%4.91M | 43.41%4.91M | 106.74%16.82M | 158.87%13.24M | 116.92%12.64M | -46.86%3.42M | -46.86%3.42M | 25.56%8.13M |
Total current assets | 3.46%404.86M | 1.89%409.93M | 4.94%389.99M | 4.94%389.99M | -3.07%403.84M | -9.05%391.33M | -4.73%402.34M | -29.83%371.63M | -29.83%371.63M | -30.31%416.64M |
Non current assets | ||||||||||
Net PPE | 66.66%57.82M | 59.96%51.64M | 41.53%42.13M | 41.53%42.13M | 41.73%40.94M | 20.61%34.69M | 28.65%32.28M | 29.98%29.77M | 29.98%29.77M | 38.71%28.89M |
-Gross PPE | 73.48%78.05M | 68.32%68.97M | 52.38%56.73M | 52.38%56.73M | 49.74%53.1M | 31.41%44.99M | 38.94%40.98M | 41.30%37.23M | 41.30%37.23M | 50.65%35.46M |
-Accumulated depreciation | -96.48%-20.23M | -99.39%-17.33M | -95.67%-14.6M | -95.67%-14.6M | -85.00%-12.16M | -88.21%-10.3M | -97.66%-8.69M | -116.57%-7.46M | -116.57%-7.46M | -142.33%-6.57M |
Goodwill and other intangible assets | 43.92%17.69M | 62.99%17.59M | 63.32%15.82M | 63.32%15.82M | 81.59%13.8M | 79.70%12.29M | 74.79%10.79M | 65.83%9.69M | 65.83%9.69M | 37.66%7.6M |
-Goodwill | -3.10%719K | -2.16%726K | 0.00%742K | 0.00%742K | --742K | --742K | --742K | --742K | --742K | ---- |
-Other intangible assets | 46.94%16.97M | 67.79%16.87M | 68.57%15.08M | 68.57%15.08M | --13.06M | --11.55M | --10.05M | 53.12%8.94M | 53.12%8.94M | ---- |
Investments and advances | -35.94%28.8M | -66.95%45.49M | -44.79%100.49M | -44.79%100.49M | 298.91%36M | 390.85%44.96M | -19.25%137.65M | 127.19%182M | 127.19%182M | --9.03M |
Long-term notes receivables | -96.19%3.37M | --13.6M | ---- | ---- | -53.86%65.11M | -36.19%88.59M | ---- | ---- | ---- | --141.13M |
Other non current assets | -2.02%4.9M | 15.54%5.61M | 4.99%5.16M | 4.99%5.16M | 71.34%5.68M | 58.81%5M | 42.10%4.86M | 38.00%4.91M | 38.00%4.91M | 40.64%3.32M |
Total non current assets | -39.32%112.58M | -27.83%133.93M | -27.73%163.59M | -27.73%163.59M | -14.96%161.54M | -0.65%185.53M | -9.54%185.58M | 101.37%226.36M | 101.37%226.36M | 561.76%189.96M |
Total assets | -10.30%517.44M | -7.49%543.86M | -7.43%553.58M | -7.43%553.58M | -6.80%565.38M | -6.51%576.85M | -6.30%587.92M | -6.86%597.99M | -6.86%597.99M | -3.19%606.6M |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Payables | 38.68%6.32M | 62.69%5.85M | 83.27%5.6M | 83.27%5.6M | 27.09%6.41M | 23.91%4.56M | 82.87%3.6M | 62.33%3.06M | 62.33%3.06M | 156.33%5.04M |
-accounts payable | 38.68%6.32M | 62.69%5.85M | 83.27%5.6M | 83.27%5.6M | 27.09%6.41M | 23.91%4.56M | 82.87%3.6M | 62.33%3.06M | 62.33%3.06M | 156.33%5.04M |
Current accrued expenses | -3.52%8.93M | 11.97%10.54M | 176.12%18.38M | 176.12%18.38M | 92.04%15.7M | 130.18%9.25M | 119.03%9.41M | 151.42%6.66M | 151.42%6.66M | 134.77%8.18M |
Current debt and capital lease obligation | 135.51%1.48M | 93.11%1.18M | 20.14%710K | 20.14%710K | 19.42%695K | 8.84%628K | 6.46%610K | 4.05%591K | 4.05%591K | 3.19%582K |
-Current capital lease obligation | 135.51%1.48M | 93.11%1.18M | 20.14%710K | 20.14%710K | 19.42%695K | 8.84%628K | 6.46%610K | 4.05%591K | 4.05%591K | 3.19%582K |
Current deferred liabilities | 62.17%13.67M | 166.00%16.74M | 38.47%12.09M | 38.47%12.09M | 10.98%5.22M | 72.53%8.43M | 84.20%6.29M | 154.49%8.73M | 154.49%8.73M | 20.24%4.7M |
Other current liabilities | -48.49%392K | -58.52%392K | -65.31%392K | -65.31%392K | -49.03%576K | -32.65%761K | -16.37%945K | -2.92%1.13M | -2.92%1.13M | -1.99%1.13M |
Current liabilities | 30.30%30.79M | 66.37%34.71M | 84.35%37.16M | 84.35%37.16M | 45.68%28.6M | 65.33%23.63M | 83.22%20.86M | 108.03%20.16M | 108.03%20.16M | 77.24%19.63M |
Non current liabilities | ||||||||||
Long term debt and capital lease obligation | 170.14%15.15M | 156.97%14.45M | 113.79%7.4M | 113.79%7.4M | 85.08%6.5M | 57.73%5.61M | 56.22%5.62M | -5.05%3.46M | -5.05%3.46M | -4.59%3.51M |
-Long term capital lease obligation | 170.14%15.15M | 156.97%14.45M | 113.79%7.4M | 113.79%7.4M | 85.08%6.5M | 57.73%5.61M | 56.22%5.62M | -5.05%3.46M | -5.05%3.46M | -4.59%3.51M |
Non current deferred liabilities | -82.89%121K | -81.03%181K | -62.78%447K | -62.78%447K | -38.33%457K | 14.77%707K | 95.09%954K | -21.66%1.2M | -21.66%1.2M | -51.66%741K |
Derivative product liabilities | -66.16%7.99M | 80.27%14.73M | 403.48%23.45M | 403.48%23.45M | 363.45%31.14M | 303.50%23.61M | -63.19%8.17M | -87.04%4.66M | -87.04%4.66M | -87.22%6.72M |
Other non current liabilities | 107.55%110K | -64.94%27K | -57.76%128K | -57.76%128K | -50.14%183K | --53K | --77K | --303K | --303K | --367K |
Total non current liabilities | -22.03%23.37M | 98.23%29.39M | 226.60%31.42M | 226.60%31.42M | 237.60%38.28M | 199.09%29.98M | -43.59%14.83M | -76.60%9.62M | -76.60%9.62M | -80.39%11.34M |
Total liabilities | 1.04%54.16M | 79.61%64.09M | 130.30%68.59M | 130.30%68.59M | 115.95%66.88M | 120.47%53.61M | -5.26%35.69M | -41.37%29.78M | -41.37%29.78M | -55.04%30.97M |
Shareholders'equity | ||||||||||
Share capital | 5.00%21K | 5.00%21K | 0.00%20K | 0.00%20K | 0.00%20K | 0.00%20K | 0.00%20K | 5.26%20K | 5.26%20K | 100.00%20K |
-common stock | 5.00%21K | 5.00%21K | 0.00%20K | 0.00%20K | 0.00%20K | 0.00%20K | 0.00%20K | 5.26%20K | 5.26%20K | 100.00%20K |
Retained earnings | -61.75%-429.23M | -76.71%-391.67M | -81.20%-352.07M | -81.20%-352.07M | -76.58%-310.17M | -74.96%-265.36M | -47.74%-221.64M | -33.27%-194.3M | -33.27%-194.3M | -144.96%-175.66M |
Paid-in capital | 12.47%893.8M | 12.04%873.13M | 8.98%839.01M | 8.98%839.01M | 6.98%813.44M | 5.78%794.67M | 4.68%779.29M | 4.44%769.85M | 4.44%769.85M | 20.82%760.39M |
Gains losses not affecting retained earnings | 78.35%-1.32M | 68.32%-1.72M | 73.26%-1.97M | 73.26%-1.97M | 47.46%-4.79M | 12.15%-6.09M | -15.81%-5.43M | -4,869.59%-7.36M | -4,869.59%-7.36M | ---9.12M |
Total stockholders'equity | -11.46%463.27M | -13.12%479.77M | -14.65%484.99M | -14.65%484.99M | -13.40%498.5M | -11.71%523.25M | -6.37%552.24M | -3.89%568.21M | -3.89%568.21M | 3.22%575.63M |
Total equity | -11.46%463.27M | -13.12%479.77M | -14.65%484.99M | -14.65%484.99M | -13.40%498.5M | -11.71%523.25M | -6.37%552.24M | -3.89%568.21M | -3.89%568.21M | 3.22%575.63M |
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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