(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 | -31.88%7.75M | -10.06%8.06M | 18.16%8.28M | 18.16%8.28M | 23.50%6.74M | 230.04%11.38M | --8.96M | -24.76%7.01M | --7.01M | -38.91%5.45M |
-Cash and cash equivalents | -31.88%7.75M | -10.06%8.06M | 18.16%8.28M | 18.16%8.28M | 23.50%6.74M | 230.04%11.38M | --8.96M | -24.76%7.01M | --7.01M | -38.91%5.45M |
Receivables | -5.11%350.23M | -7.31%343.68M | -17.57%311.51M | -17.57%311.51M | 46.26%285.91M | 341.43%369.09M | --370.77M | 431.00%377.91M | --377.91M | 1,830.73%195.48M |
-Accounts receivable | 53.40%7.41M | -15.58%7.02M | 60.29%6.32M | 60.29%6.32M | 27.85%5.76M | 501.73%4.83M | --8.32M | 473.01%3.94M | --3.94M | 723.64%4.51M |
-Loans receivable | -6.17%337.1M | -8.51%331.6M | -18.54%302.9M | -18.54%302.9M | 43.32%273.7M | 333.85%359.27M | --362.45M | 427.54%371.82M | --371.82M | 1,893.99%190.97M |
-Other receivables | 130.17%11.98M | --10.63M | 212.14%7.16M | 212.14%7.16M | --6.85M | --5.2M | ---- | --2.29M | --2.29M | ---- |
-Recievables adjustments allowances | -2,795.94%-6.26M | ---5.58M | -3,343.92%-4.87M | -3,343.92%-4.87M | ---396K | ---216.01K | ---- | ---141.27K | ---141.27K | ---- |
Restricted cash | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | --6.78M |
Other current assets | 160.38%3.27M | 198.82%2.88M | 293.62%3.25M | 293.62%3.25M | 507.16%1.85M | --1.25M | --964.76K | 447.91%824.97K | --824.97K | --304.95K |
Total current assets | -5.36%361.25M | -6.85%354.63M | -16.26%323.03M | -16.26%323.03M | 41.58%294.5M | 337.64%381.73M | --380.7M | 375.77%385.74M | --385.74M | 979.11%208.02M |
Non current assets | ||||||||||
Net PPE | 52.51%1.34M | 53.33%1.44M | 1,129.21%1.54M | 1,129.21%1.54M | 473.75%813.92K | 440.19%875.77K | --937.63K | -38.19%125.26K | --125.26K | -36.50%141.86K |
-Gross PPE | 52.51%1.34M | 53.33%1.44M | 1,129.21%1.54M | 1,129.21%1.54M | 473.75%813.92K | 440.19%875.77K | --937.63K | -38.19%125.26K | --125.26K | -36.50%141.86K |
Investments and advances | -25.12%4.01M | 29.33%4.57M | 22.60%4.5M | 22.60%4.5M | 269.35%4.69M | 316.75%5.35M | --3.54M | 175.52%3.67M | --3.67M | 1.72%1.27M |
-Long term equity investment | -25.12%4.01M | 29.33%4.57M | 22.60%4.5M | 22.60%4.5M | 269.35%4.69M | 316.75%5.35M | --3.54M | 175.52%3.67M | --3.67M | 1.72%1.27M |
Financial assets | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | --0 |
Non current accounts receivable | -30.89%1.55M | 5.74%2.38M | 16.35%2.43M | 16.35%2.43M | --2.33M | --2.24M | --2.25M | --2.09M | --2.09M | ---- |
Non current note receivables | -38.61%11.71M | 0.48%16.56M | 99.30%17.68M | 99.30%17.68M | -62.53%18.49M | -56.07%19.07M | --16.49M | -75.10%8.87M | --8.87M | 96.78%49.34M |
Goodwill and other intangible assets | -14.28%52.07M | -14.25%52.48M | -3.34%52.89M | -3.34%52.89M | 23.19%53.3M | 869.28%60.75M | --61.2M | 736.71%54.71M | --54.71M | --43.26M |
-Goodwill | -13.52%44.79M | -13.52%44.79M | 0.00%44.79M | 0.00%44.79M | 22.77%44.79M | 1,365.44%51.79M | --51.79M | 1,167.37%44.79M | --44.79M | --36.48M |
-Other intangible assets | -18.72%7.29M | -18.29%7.69M | -18.40%8.1M | -18.40%8.1M | 25.45%8.51M | 227.91%8.96M | --9.42M | 230.34%9.93M | --9.93M | --6.78M |
Non current deferred assets | 70.20%429.89K | 70.20%429.89K | 70.20%429.89K | 70.20%429.89K | --252.58K | --252.58K | --252.58K | --252.58K | --252.58K | ---- |
Total non current assets | -19.70%71.1M | -8.03%77.86M | 13.98%79.47M | 13.98%79.47M | -15.05%79.87M | 73.19%88.54M | --84.66M | 58.47%69.73M | --69.73M | 250.65%94.01M |
Total assets | -8.06%432.36M | -7.06%432.49M | -11.63%402.51M | -11.63%402.51M | 23.95%374.37M | 239.92%470.27M | --465.36M | 264.14%455.47M | --455.47M | 555.34%302.03M |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Current debt and capital lease obligation | -7.35%338.52M | -11.97%323.11M | 16.81%335.39M | 16.81%335.39M | 41.34%302.52M | 333.45%365.38M | --367.03M | 295.38%287.13M | --287.13M | 4,416.04%214.03M |
-Current debt | -7.50%337.09M | -12.15%321.58M | 16.31%333.77M | 16.31%333.77M | 41.04%301.64M | 333.24%364.43M | --366.06M | 296.37%286.98M | --286.98M | 4,652.65%213.87M |
-Current capital lease obligation | 49.90%1.43M | 56.41%1.53M | 1,005.09%1.62M | 1,005.09%1.62M | 457.86%875.71K | 430.48%954.68K | --975.02K | -32.85%146.8K | --146.8K | -34.39%156.98K |
Current deferred liabilities | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | --0 |
Other current liabilities | -93.69%1.13M | -94.10%1.13M | -91.41%1.71M | -91.41%1.71M | --2.88M | --17.89M | --19.13M | --19.84M | --19.84M | ---- |
Current liabilities | -11.25%344.95M | -16.03%331.49M | 10.48%344.49M | 10.48%344.49M | 41.70%310.52M | 342.59%388.7M | --394.78M | 293.52%311.82M | --311.82M | 3,854.67%219.14M |
Non current liabilities | ||||||||||
Long term debt and capital lease obligation | 147.65%53.84M | 582.42%63.41M | -79.68%17.6M | -79.68%17.6M | --17.15M | --21.74M | --9.29M | 6,254.04%86.61M | --86.61M | ---- |
-Long term debt | 147.65%53.84M | 582.42%63.41M | -79.68%17.6M | -79.68%17.6M | --17.15M | --21.74M | --9.29M | 6,254.04%86.61M | --86.61M | ---- |
Non current deferred liabilities | -18.65%1.97M | -18.22%2.08M | -18.32%2.19M | -18.32%2.19M | 25.45%2.3M | 227.83%2.42M | --2.54M | 219.59%2.68M | --2.68M | --1.83M |
Other non current liabilities | ---- | ---- | ---- | ---- | ---- | -95.51%1.52M | --1.52M | -95.08%1.5M | --1.5M | 17,719.96%36.09M |
Total non current liabilities | 117.36%55.81M | 390.60%65.49M | -78.20%19.79M | -78.20%19.79M | -48.71%19.45M | -25.58%25.68M | --13.35M | 177.51%90.79M | --90.79M | 2,612.48%37.92M |
Total liabilities | -3.28%400.77M | -2.73%396.97M | -9.52%364.28M | -9.52%364.28M | 28.37%329.97M | 238.74%414.37M | --408.13M | 259.62%402.6M | --402.6M | 3,604.40%257.06M |
Shareholders'equity | ||||||||||
Share capital | 2.12%63.2M | 1.11%62.53M | 0.51%62.12M | 0.51%62.12M | 26.26%62.12M | 214.79%61.89M | --61.84M | 256.46%61.8M | --61.8M | 318.44%49.2M |
-common stock | 6.11%23.39M | 3.29%22.72M | 1.60%22.31M | 1.60%22.31M | 2.23%22.31M | 118.23%22.04M | --21.99M | 182.29%21.96M | --21.96M | 269.96%21.82M |
-Preferred stock | -0.09%39.81M | -0.09%39.81M | -0.09%39.81M | -0.09%39.81M | 45.42%39.81M | 316.80%39.85M | --39.85M | 316.80%39.85M | --39.85M | 367.25%27.38M |
Additional paid-in capital | 0.00%82.07K | 0.00%82.07K | 85.91%82.07K | 85.91%82.07K | 0.00%82.07K | 0.00%82.07K | --82.07K | -35.43%44.14K | --44.14K | --82.07K |
Retained earnings | -208.30%-34.56M | -239.57%-32.35M | -114.38%-29.34M | -114.38%-29.34M | -256.15%-22.99M | -102.56%-11.21M | ---9.53M | -134.21%-13.69M | ---13.69M | -16.97%-6.46M |
Gains losses not affecting retained earnings | 470.97%6.7K | --5.8K | ---3.35K | ---3.35K | -99.90%177 | -155.80%-1.81K | ---- | --0 | --0 | 396.61%181.55K |
Other equity interest | 10.68%2.86M | 23.04%2.78M | 38.67%2.92M | 38.67%2.92M | 33.23%2.61M | 43.05%2.59M | --2.26M | 30.79%2.1M | --2.1M | 18.15%1.96M |
Total stockholders'equity | -40.78%31.59M | -39.53%33.05M | -28.83%35.77M | -28.83%35.77M | -7.00%41.82M | 233.00%53.35M | --54.66M | 282.91%50.27M | --50.27M | 473.81%44.97M |
Noncontrolling interests | --0 | -4.34%2.46M | -5.46%2.46M | -5.46%2.46M | --2.57M | --2.55M | --2.58M | --2.6M | --2.6M | ---- |
Total equity | -43.49%31.59M | -37.95%35.51M | -27.68%38.23M | -27.68%38.23M | -1.28%44.39M | 248.92%55.9M | --57.23M | 302.71%52.86M | --52.86M | 14.87%44.97M |
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 | -- | -- |
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