(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 | -0.05%368.8M | 5.00%397.39M | 6.12%517.07M | 6.12%517.07M | 34.19%537.41M | 12.54%368.98M | 39.13%378.47M | 2,490.32%487.24M | 2,490.32%487.24M | 1,670.51%400.49M |
-Cash and cash equivalents | -0.05%368.8M | 5.00%397.39M | 6.12%517.07M | 6.12%517.07M | 34.19%537.41M | 12.54%368.98M | 39.13%378.47M | 2,490.32%487.24M | 2,490.32%487.24M | 1,670.51%400.49M |
-Including:Cash | -0.05%368.8M | --397.39M | 6.12%517.07M | 6.12%517.07M | --537.41M | --368.98M | ---- | 2,490.32%487.24M | 2,490.32%487.24M | ---- |
Receivables | 25.82%130.38M | -13.23%104.31M | -8.18%113.5M | -8.18%113.5M | 4.62%151.37M | -33.59%103.63M | -29.18%120.22M | 11.46%123.61M | 11.46%123.61M | 66.01%144.68M |
-Accounts receivable | 30.71%97.7M | -17.46%85.04M | -13.69%97.26M | -13.69%97.26M | 0.95%123.02M | -41.97%74.75M | -33.16%103.02M | 23.76%112.7M | 23.76%112.7M | 80.62%121.86M |
-Other receivables | 13.17%32.68M | 12.09%19.27M | 48.75%16.23M | 48.75%16.23M | 24.21%28.35M | 6.05%28.88M | 10.18%17.19M | -44.98%10.91M | -44.98%10.91M | 15.94%22.82M |
Inventory | -28.47%20.46M | 14.51%25.42M | 36.66%21.81M | 36.66%21.81M | -0.70%20.48M | -5.84%28.61M | 9.48%22.2M | -20.98%15.96M | -20.98%15.96M | -38.97%20.62M |
Restricted cash | ---- | ---- | ---- | ---- | --5.2M | -94.78%5.2M | ---- | ---- | ---- | ---- |
Tax assets-Current | -91.79%193K | --5.16M | 14,977.78%2.71M | 14,977.78%2.71M | 2,600.00%486K | 12,966.67%2.35M | --0 | -81.82%18K | -81.82%18K | -82.69%18K |
Hedging assets-current | -42.97%5.42M | -87.01%1.72M | 202.39%35.5M | 202.39%35.5M | -0.38%12.08M | -43.66%9.5M | --13.23M | 913.03%11.74M | 913.03%11.74M | --12.12M |
Total current assets | 1.35%525.25M | -0.02%534M | 8.15%690.6M | 8.15%690.6M | 25.80%727.02M | -17.84%518.26M | 15.59%534.12M | 322.44%638.57M | 322.44%638.57M | 302.28%577.93M |
Non current assets | ||||||||||
Net PPE | 21.66%1.4B | 23.81%1.37B | 31.56%1.31B | 31.56%1.31B | 25.19%1.18B | 17.17%1.15B | 8.20%1.11B | -0.83%993.2M | -0.83%993.2M | -8.90%942.46M |
-Gross PP&E | 14.60%2.86B | 16.34%2.79B | 19.33%2.71B | 19.33%2.71B | 17.39%2.53B | 13.15%2.49B | 7.54%2.4B | 4.07%2.27B | 4.07%2.27B | -1.39%2.16B |
-Accumulated depreciation | -8.51%-1.45B | -9.96%-1.42B | -9.82%-1.4B | -9.82%-1.4B | -11.35%-1.35B | -9.90%-1.34B | -6.97%-1.29B | -8.23%-1.28B | -8.23%-1.28B | -5.35%-1.22B |
Investment properties | --630K | -96.66%162K | --0 | --0 | ---- | ---- | -69.27%4.86M | -73.59%4.76M | -73.59%4.76M | -35.50%12.56M |
Total investment | ---- | 190.92%40.36M | 15.62%41.49M | 15.62%41.49M | 90.86%14.74M | 81.73%14.04M | 79.49%13.87M | 364.25%35.88M | 364.25%35.88M | -0.06%7.72M |
-Financial asset investment | ---- | 190.92%40.36M | 15.62%41.49M | 15.62%41.49M | 90.86%14.74M | 81.73%14.04M | 79.49%13.87M | 364.25%35.88M | 364.25%35.88M | -0.06%7.72M |
Long-term accounts receivable and other receivables | ---- | ---- | ---- | ---- | 5.12%28.12M | 0.51%28.28M | 1.90%28.11M | ---- | ---- | -4.09%26.75M |
Financial assets | -84.03%502K | --1.84M | --7.05M | --7.05M | --2.47M | --3.14M | ---- | --0 | --0 | ---- |
Goodwill and other intangible assets | --15.03M | --14.85M | 192.81%15.35M | 192.81%15.35M | ---- | ---- | ---- | --5.24M | --5.24M | ---- |
Defined pension benefit | --40.9M | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
Deferred tax assets-non current | -31.60%1.04M | -95.92%834K | -6.79%1.83M | -6.79%1.83M | -5.28%1.69M | -86.37%1.52M | -57.19%20.46M | -97.08%1.96M | -97.08%1.96M | -97.59%1.78M |
Total non current assets | 21.74%1.46B | 21.66%1.43B | 31.83%1.37B | 31.83%1.37B | 23.77%1.23B | 14.94%1.2B | 4.66%1.17B | -7.26%1.04B | -7.26%1.04B | -14.80%991.27M |
Total assets | 15.60%1.99B | 14.87%1.96B | 22.82%2.06B | 22.82%2.06B | 24.51%1.95B | 2.60%1.72B | 7.85%1.71B | 31.87%1.68B | 31.87%1.68B | 20.05%1.57B |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Financial liabilities | 32.06%9.69M | 89.54%20.54M | 6.13%5.67M | 6.13%5.67M | 209.61%11.7M | -2.45%7.33M | -29.28%10.84M | 114.38%5.34M | 114.38%5.34M | -75.05%3.78M |
-Financial or other derivative investment liabilities | 93.01%5.85M | 152.12%16.56M | 9.70%1.27M | 9.70%1.27M | --7.39M | -14.35%3.03M | -45.22%6.57M | --1.16M | --1.16M | ---- |
-Current debt and capital lease obligation | -10.93%3.83M | -89.13%464K | 5.14%4.4M | 5.14%4.4M | 35.33%881K | 556.64%4.3M | 529.65%4.27M | 67.99%4.18M | 67.99%4.18M | -60.74%651K |
-Including:Current debt | -0.60%3.49M | ---- | 4.61%3.59M | 4.61%3.59M | ---- | --3.51M | --3.51M | 89.98%3.43M | 89.98%3.43M | ---- |
-Including:Current capital Lease obligation | -56.91%340K | -39.11%464K | 7.58%809K | 7.58%809K | 35.33%881K | 20.46%789K | 12.39%762K | 9.94%752K | 9.94%752K | -6.06%651K |
-Other financial liabilities | ---- | --3.52M | ---- | ---- | 9.49%3.43M | ---- | ---- | ---- | ---- | --3.13M |
Payables | 0.28%40.51M | -45.05%35.66M | 20.41%70.21M | 20.41%70.21M | 119.23%72.9M | 49.16%40.4M | 200.83%64.89M | 47.24%58.31M | 47.24%58.31M | -12.61%33.25M |
-accounts payable | 23.44%22.11M | -30.74%20.19M | 108.11%42.76M | 108.11%42.76M | 119.88%43.81M | 15.74%17.91M | 234.74%29.16M | 127.21%20.55M | 127.21%20.55M | 102.50%19.92M |
-Total tax payable | 80.34%5.15M | -96.29%680K | -98.57%255K | -98.57%255K | -81.71%1.46M | -39.75%2.85M | 128.30%18.35M | 249.36%17.79M | 249.36%17.79M | 149.80%7.97M |
-Other payable | -32.49%13.25M | -14.97%14.78M | 36.17%27.2M | 36.17%27.2M | 415.73%27.63M | 185.72%19.63M | 260.41%17.39M | -21.58%19.97M | -21.58%19.97M | -78.59%5.36M |
Current provisions | -8.94%6.92M | -14.09%8.28M | 0.61%8.1M | 0.61%8.1M | 24.55%8.64M | 34.90%7.6M | 53.14%9.64M | 6.53%8.05M | 6.53%8.05M | 0.89%6.94M |
Accrued and deferred income | 37.83%119.93M | 53.25%117.22M | 52.05%118.91M | 52.05%118.91M | -5.46%86.77M | -16.21%87.01M | -28.98%76.49M | 72.53%78.21M | 72.53%78.21M | 83.11%91.79M |
Current liabilities | 24.38%177.04M | 12.26%181.7M | 35.34%202.89M | 35.34%202.89M | 32.60%180.01M | -1.21%142.33M | 7.26%161.85M | 57.83%149.91M | 57.83%149.91M | 23.20%135.76M |
Non current liabilities | ||||||||||
Non current financial liabilities | 45.23%444.29M | 46.02%444.05M | 45.35%442.83M | 45.35%442.83M | 45.97%444.27M | 0.09%305.92M | -0.99%304.1M | 176.46%304.66M | 176.46%304.66M | 67.73%304.35M |
-Long term debt and capital lease obligation | 45.06%443.17M | 44.21%438.53M | 45.27%442.57M | 45.27%442.57M | 47.51%436.04M | 3.40%305.51M | 2.95%304.1M | 176.46%304.66M | 176.46%304.66M | 62.91%295.6M |
-Including:Long term debt | 45.48%440.97M | 43.63%436.24M | 44.82%440.48M | 44.82%440.48M | 46.99%433.85M | 2.79%303.12M | 3.10%303.72M | 178.48%304.15M | 178.48%304.15M | 63.71%295.16M |
-Including:Long term capital lease obligation | -8.09%2.2M | 501.31%2.29M | 311.64%2.09M | 311.64%2.09M | 395.93%2.19M | 303.03%2.4M | -52.38%381K | -48.27%507K | -48.27%507K | -61.67%442K |
-Derivative product liabilities | 179.30%1.12M | --1.07M | --263K | --263K | --2.15M | --401K | ---- | --0 | --0 | ---- |
-Other financial liabilities-Non current | ---- | --4.44M | ---- | ---- | -30.41%6.09M | ---- | ---- | ---- | ---- | --8.75M |
Long term provisions | 5.33%252.09M | 7.30%250.1M | 23.24%250.66M | 23.24%250.66M | 22.96%234.62M | 19.93%239.32M | 15.07%233.08M | 2.30%203.39M | 2.30%203.39M | -12.09%190.82M |
Non current deferred liabilities | 65.31%88.54M | 17.98%78.26M | 53.28%86.35M | 53.28%86.35M | 55.47%69.84M | 128.00%53.56M | 205.23%66.33M | 154.42%56.33M | 154.42%56.33M | 98.80%44.92M |
Total non current liabilities | 31.08%784.92M | 27.98%772.4M | 38.18%779.84M | 38.18%779.84M | 38.63%748.73M | 13.26%598.8M | 13.56%603.51M | 70.43%564.38M | 70.43%564.38M | 28.25%540.09M |
Total liabilities | 29.80%961.96M | 24.66%954.1M | 37.58%982.73M | 37.58%982.73M | 37.42%928.75M | 10.16%741.13M | 12.17%765.36M | 67.62%714.29M | 67.62%714.29M | 27.21%675.84M |
Shareholders'equity | ||||||||||
Share capital | -39.15%161.64M | -31.91%190.61M | -32.10%230.01M | -32.10%230.01M | -28.00%253.01M | -47.43%265.63M | -44.60%279.96M | -35.94%338.72M | -35.94%338.72M | -34.46%351.43M |
-common stock | -39.15%161.64M | -31.91%190.61M | -32.10%230.01M | -32.10%230.01M | -28.00%253.01M | -47.43%265.63M | -44.60%279.96M | -35.94%338.72M | -35.94%338.72M | -34.46%351.43M |
Retained earnings | 25.48%887.76M | 24.74%842.56M | 27.20%808.85M | 27.20%808.85M | 35.57%779.14M | 46.11%707.47M | 78.21%675.45M | 113.24%635.9M | 113.24%635.9M | 148.47%574.71M |
Other reserves | -647.59%-37.99M | -76.39%-39.57M | 207.50%22.39M | 207.50%22.39M | 53.26%-19.77M | -317.32%-5.08M | -466.47%-22.44M | -294.43%-20.82M | -294.43%-20.82M | -26,044.79%-42.29M |
Other equity interest | 38.19%14.66M | 54.86%12.61M | 65.99%18.84M | 65.99%18.84M | 34.67%12.57M | -7.65%10.61M | -14.35%8.14M | 17.00%11.35M | 17.00%11.35M | 16.10%9.33M |
Total stockholders'equity | 4.85%1.03B | 6.92%1.01B | 11.91%1.08B | 11.91%1.08B | 14.75%1.02B | -2.46%978.63M | 4.57%941.12M | 13.90%965.14M | 13.90%965.14M | 15.14%893.17M |
Noncontrolling interests | -14.79%144K | -6.50%187K | -3.14%185K | -3.14%185K | -7.45%174K | -8.15%169K | 17.65%200K | 21.66%191K | 21.66%191K | 24.50%188K |
Total equity | 4.84%1.03B | 6.91%1.01B | 11.91%1.08B | 11.91%1.08B | 14.75%1.03B | -2.46%978.8M | 4.58%941.32M | 13.90%965.33M | 13.90%965.33M | 15.14%893.36M |
Accounting Standards | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP |
FY: Financial Year. Refers to the 10-K file disclosed by the listed company to the SEC.
Q: Quarter. Refers to the 10-Q file disclosed by the listed company to the SEC. Q1, Q2, Q3, and Q4 are quarterly reports each with a span of 3 months; Q6 and Q9 are cumulative reports, with Q6 including 6 months and Q9 9 months.
No Data