(FY)Sep 30, 2024 | (Q4)Sep 30, 2024 | (Q3)Jun 30, 2024 | (Q2)Mar 31, 2024 | (Q1)Dec 31, 2023 | (FY)Sep 30, 2023 | (Q4)Sep 30, 2023 | (Q3)Jun 30, 2023 | (Q2)Mar 31, 2023 | (Q1)Dec 31, 2022 | |
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Operating Cash Flow (Indirect Method) | ||||||||||
Cash flow from continuing operating activities | 49.36%70.22M | 50.11%22.01M | 121.95%22.24M | 5.61%34.85M | 16.77%-8.87M | 4.87%47.02M | 7.04%14.66M | -39.30%10.02M | 158.67%33M | -669.80%-10.66M |
Net income from continuing operations | -4.70%19.99M | 1.51%6.38M | -7.52%6M | 34.54%5.71M | -51.93%1.91M | -47.98%20.98M | -24.75%6.28M | -60.46%6.49M | -64.54%4.24M | 10.13%3.97M |
Operating gains losses | 61.11%-14K | -33.33%16K | -20.00%-6K | 0.00%-10K | 68.89%-14K | 85.83%-36K | 110.67%24K | 68.75%-5K | -105.05%-10K | 78.67%-45K |
Depreciation and amortization | 7.69%12.12M | 0.04%2.82M | 11.62%3.2M | 13.95%3.19M | 5.07%2.9M | 9.04%11.26M | 1.66%2.82M | 8.56%2.87M | 7.64%2.8M | 20.07%2.76M |
Deferred tax | -19.08%5.32M | -50.30%1.01M | 24.80%2.54M | -12.88%1.17M | -48.18%612K | 4.63%6.58M | -29.72%2.02M | 11.65%2.03M | 89.42%1.34M | 34.05%1.18M |
Other non cash items | -84.45%163K | --0 | --0 | ---- | ---- | 104.31%1.05M | 104.54%189K | 100.10%12K | 109.67%845K | -97.96%2K |
Change In working capital | 967.34%20.71M | 2,647.18%7.8M | 304.27%7.84M | -0.39%21.7M | 19.36%-16.63M | -162.66%-2.39M | -83.23%284K | -173.53%-3.84M | 445.82%21.79M | -190.81%-20.62M |
-Change in receivables | -255.65%-4.01M | -1.56%-2.54M | 172.63%528K | -211.37%-2.06M | -98.38%64K | 141.45%2.57M | 40.69%-2.5M | 46.31%-727K | 59.50%1.85M | 320.28%3.95M |
-Change in inventory | 1,133.19%4.95M | 525.32%7.24M | -24.23%2.12M | -572.31%-1.14M | 30.21%-3.27M | -208.62%-479K | -52.31%1.16M | 319.59%2.8M | 65.75%242K | -447.37%-4.68M |
-Change in prepaid assets | -160.38%-3.04M | 161.30%2.49M | -140.21%-4.96M | -183.71%-961K | 133.14%398K | 35.40%-1.17M | -3.26%951K | -32.73%-2.06M | 976.34%1.15M | -8.98%-1.2M |
-Change in payables and accrued expense | 766.14%21.27M | -11.16%645K | 327.82%9.04M | 38.76%25.18M | 24.89%-13.59M | -126.84%-3.19M | -75.65%726K | -141.80%-3.97M | 713.63%18.14M | -544.18%-18.1M |
-Change in other current liabilities | --0 | --0 | --0 | --0 | --0 | 78.28%-157K | -152.73%-29K | -96.43%1K | -800.00%-9K | 85.09%-120K |
-Change in other working capital | 4,411.76%1.53M | -15.00%-23K | 828.57%1.11M | 65.23%689K | 50.83%-237K | -83.89%34K | 96.27%-20K | 201.71%119K | -29.32%417K | -275.91%-482K |
Cash from discontinued investing activities | ||||||||||
Operating cash flow | 49.36%70.22M | 50.11%22.01M | 121.95%22.24M | 5.61%34.85M | 16.76%-8.87M | 4.87%47.02M | 7.04%14.66M | -39.30%10.02M | 158.65%32.99M | -669.70%-10.66M |
Investing cash flow | ||||||||||
Cash flow from continuing investing activities | -40.95%-16.11M | 177.35%1.53M | 98.22%-55K | -364.17%-15.51M | 30.91%-2.08M | 45.78%-11.43M | 45.71%-1.98M | -14.34%-3.09M | -95.84%-3.34M | 76.85%-3.02M |
Net PPE purchase and sale | -65.37%-8.91M | -91.90%-2.84M | -63.90%-1.96M | -58.57%-2.38M | -42.82%-1.73M | 33.68%-5.39M | 19.03%-1.48M | 56.10%-1.19M | 6.78%-1.5M | 38.29%-1.21M |
Net business purchase and sale | ---13.16M | --108K | --0 | ---- | ---- | --0 | --0 | --0 | ---- | ---- |
Net investment purchase and sale | 196.45%5.9M | 936.20%4.27M | 199.74%1.9M | 105.68%105K | 79.26%-383K | -235.93%-6.11M | 71.92%-511K | ---1.91M | ---1.85M | ---1.85M |
Net other investing changes | -20.59%54K | -160.00%-6K | --0 | 314.29%29K | -29.55%31K | 223.81%68K | 600.00%10K | -50.00%7K | 133.33%7K | 633.33%44K |
Cash from discontinued investing activities | ||||||||||
Investing cash flow | -40.95%-16.11M | 177.35%1.53M | 98.22%-55K | -364.17%-15.51M | 30.91%-2.08M | 45.78%-11.43M | 45.71%-1.98M | -14.34%-3.09M | -95.84%-3.34M | 76.85%-3.02M |
Financing cash flow | ||||||||||
Cash flow from continuing financing activities | 49.37%-11.17M | -51.75%-346K | 89.46%-483K | 11.97%-9.05M | 81.47%-1.29M | 30.92%-22.07M | 75.46%-228K | 49.43%-4.58M | 43.22%-10.28M | -81.52%-6.97M |
Net issuance payments of debt | 11.88%-89K | 34.62%-17K | 36.00%-16K | -20.00%-30K | -4.00%-26K | -2.02%-101K | -8.33%-26K | -4.17%-25K | -4.17%-25K | 7.41%-25K |
Net common stock issuance | 55.53%-9.43M | --0 | 91.05%-379K | 19.31%-7.88M | 83.78%-1.17M | 16.70%-21.2M | --0 | 22.28%-4.24M | 42.68%-9.76M | -142.96%-7.2M |
Proceeds from stock option exercised by employees | 20.56%598K | --470K | --1K | --0 | -74.40%127K | --496K | --0 | --0 | --0 | --496K |
Net other financing activities | -78.61%-2.25M | -295.54%-799K | 72.53%-89K | -131.91%-1.14M | 7.79%-225K | 80.27%-1.26M | 77.68%-202K | 90.98%-324K | 53.10%-492K | 71.33%-244K |
Cash from discontinued financing activities | ||||||||||
Financing cash flow | 49.37%-11.17M | -51.75%-346K | 89.46%-483K | 11.97%-9.05M | 81.47%-1.29M | 30.92%-22.07M | 75.46%-228K | 49.43%-4.58M | 43.22%-10.28M | -81.52%-6.97M |
Net cash flow | ||||||||||
Beginning cash position | 14.73%110.28M | 32.77%130.31M | 13.65%108.63M | 29.40%98.56M | 14.73%110.28M | -9.60%96.12M | 11.17%98.15M | 13.43%95.58M | -16.60%76.17M | -9.60%96.12M |
Current changes in cash | 217.60%42.94M | 86.29%23.19M | 826.33%21.7M | -46.89%10.29M | 40.68%-12.25M | 264.99%13.52M | 36.57%12.45M | -50.56%2.34M | 374.47%19.37M | -37.72%-20.65M |
Effect of exchange rate changes | -98.75%8K | 11.71%-279K | -111.76%-26K | -568.89%-211K | -24.06%524K | 131.70%640K | 75.31%-316K | 130.82%221K | 4,400.00%45K | 3,100.00%690K |
End cash Position | 38.94%153.23M | 38.94%153.23M | 32.77%130.31M | 13.65%108.63M | 29.40%98.56M | 14.73%110.28M | 14.73%110.28M | 11.17%98.15M | 13.43%95.58M | -16.60%76.17M |
Free cash flow | 47.28%61.31M | 45.41%19.16M | 129.81%20.29M | 3.09%32.47M | 10.67%-10.6M | 13.40%41.63M | 11.06%13.18M | -35.99%8.83M | 182.52%31.5M | -12,664.52%-11.87M |
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 | -- | -- | -- | -- |
No Data