(FY)Dec 30, 2023 | (Q4)Dec 30, 2023 | (FY)Dec 30, 2022 | (Q4)Dec 30, 2022 | (FY)Dec 30, 2021 | (Q4)Dec 30, 2021 | (FY)Dec 30, 2020 | (Q4)Dec 30, 2020 | (FY)Dec 30, 2019 | (Q4)Dec 30, 2019 | |
---|---|---|---|---|---|---|---|---|---|---|
Assets | ||||||||||
Current assets | ||||||||||
Cash, cash equivalents and short term investments | -80.93%1.32M | -80.93%1.32M | -6.26%6.91M | -6.26%6.91M | 78.09%7.37M | 78.09%7.37M | 142.58%4.14M | 142.58%4.14M | -79.49%1.71M | -79.49%1.71M |
-Cash and cash equivalents | -80.93%1.32M | -80.93%1.32M | -6.26%6.91M | -6.26%6.91M | 78.09%7.37M | 78.09%7.37M | 142.58%4.14M | 142.58%4.14M | -79.21%1.71M | -79.21%1.71M |
-Other receivables | 11.89%6.96M | 11.89%6.96M | 34.63%6.22M | 34.63%6.22M | 67.74%4.62M | 67.74%4.62M | 1.36%2.75M | 1.36%2.75M | -39.93%2.72M | -39.93%2.72M |
Total current assets | -30.53%10.89M | -30.53%10.89M | 15.73%15.68M | 15.73%15.68M | 24.98%13.55M | 24.98%13.55M | 84.45%10.84M | 84.45%10.84M | -43.92%5.88M | -43.92%5.88M |
Non current assets | ||||||||||
-Accumulated depreciation | -63.08%-37.82M | -63.08%-37.82M | -123.77%-23.19M | -123.77%-23.19M | -72.72%-10.36M | -72.72%-10.36M | -105.62%-6M | -105.62%-6M | -445.02%-2.92M | -445.02%-2.92M |
-Long term equity investment | ---- | ---- | -99.49%33K | -99.49%33K | -66.86%6.52M | -66.86%6.52M | --19.67M | --19.67M | ---- | ---- |
Regulatory assets | 1.40%1.31M | 1.40%1.31M | -4.09%1.29M | -4.09%1.29M | 32.54%1.34M | 32.54%1.34M | -22.95%1.01M | -22.95%1.01M | -10.77%1.32M | -10.77%1.32M |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Current debt and capital lease obligation | -96.32%235K | -96.32%235K | -52.09%6.39M | -52.09%6.39M | 180.63%13.34M | 180.63%13.34M | -78.88%4.76M | -78.88%4.76M | 137.02%22.52M | 137.02%22.52M |
-Current debt | ---- | ---- | -47.44%6.32M | -47.44%6.32M | 241.69%12.03M | 241.69%12.03M | -84.18%3.52M | -84.18%3.52M | 134.46%22.26M | 134.46%22.26M |
-Current capital lease obligation | 235.71%235K | 235.71%235K | -94.67%70K | -94.67%70K | 6.40%1.31M | 6.40%1.31M | 383.92%1.23M | 383.92%1.23M | 5,192.65%255K | 5,192.65%255K |
-accounts payable | -23.38%1.28M | -23.38%1.28M | -42.74%1.66M | -42.74%1.66M | 97.55%2.91M | 97.55%2.91M | 17.59%1.47M | 17.59%1.47M | -15.14%1.25M | -15.14%1.25M |
-Total tax payable | -17.00%1.98M | -17.00%1.98M | -71.08%2.39M | -71.08%2.39M | -60.35%8.26M | -60.35%8.26M | 1,780.76%20.82M | 1,780.76%20.82M | -92.79%1.11M | -92.79%1.11M |
-Other payable | -90.68%699K | -90.68%699K | -67.10%7.5M | -67.10%7.5M | 0.20%22.78M | 0.20%22.78M | -4.99%22.74M | -4.99%22.74M | 3.66%23.93M | 3.66%23.93M |
Current liabilities | -40.69%8.47M | -40.69%8.47M | -31.60%14.27M | -31.60%14.27M | 132.41%20.87M | 132.41%20.87M | -66.10%8.98M | -66.10%8.98M | 70.92%26.49M | 70.92%26.49M |
Non current liabilities | ||||||||||
-Long term debt | ---- | ---- | -69.72%33K | -69.72%33K | -91.64%109K | -91.64%109K | --1.3M | --1.3M | ---- | ---- |
Non current accrued expenses | -17.82%51.86M | -17.82%51.86M | -11.03%63.11M | -11.03%63.11M | 14.34%70.94M | 14.34%70.94M | 2.42%62.04M | 2.42%62.04M | 3.94%60.57M | 3.94%60.57M |
Long term provisions | ---- | ---- | ---- | ---- | -65.10%6.41M | -65.10%6.41M | --18.37M | --18.37M | ---- | ---- |
Total non current liabilities | -37.29%10.45M | -37.29%10.45M | -42.79%16.66M | -42.79%16.66M | -2.27%29.12M | -2.27%29.12M | 8.00%29.8M | 8.00%29.8M | -10.57%27.59M | -10.57%27.59M |
Shareholders'equity | ||||||||||
Share capital | 0.00%154.23M | 0.00%154.23M | 5.97%154.23M | 5.97%154.23M | 12.20%145.54M | 12.20%145.54M | 10.97%129.72M | 10.97%129.72M | 3.51%116.89M | 3.51%116.89M |
-common stock | 0.00%154.23M | 0.00%154.23M | 5.97%154.23M | 5.97%154.23M | 12.20%145.54M | 12.20%145.54M | 10.97%129.72M | 10.97%129.72M | 3.51%116.89M | 3.51%116.89M |
Gains losses not affecting retained earnings | 64.61%-1.34M | 64.61%-1.34M | 20.41%-3.8M | 20.41%-3.8M | 6.47%-4.77M | 6.47%-4.77M | -12.23%-5.1M | -12.23%-5.1M | -15.27%-4.55M | -15.27%-4.55M |
Other equity interest | 18.90%4.76M | 18.90%4.76M | 565.56%4M | 565.56%4M | --601K | --601K | ---- | ---- | --100K | --100K |
Noncontrolling interests | 16.54%18.28M | 16.54%18.28M | 30.43%15.69M | 30.43%15.69M | 168.92%12.03M | 168.92%12.03M | -5.67%4.47M | -5.67%4.47M | -23.13%4.74M | -23.13%4.74M |
Total equity | -19.85%81.73M | -19.85%81.73M | -14.52%101.97M | -14.52%101.97M | 19.19%119.29M | 19.19%119.29M | 5.22%100.09M | 5.22%100.09M | -2.94%95.12M | -2.94%95.12M |
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