(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 | -59.48%68.18M | -82.51%39.45M | -80.44%50.18M | -80.44%50.18M | -68.60%92.89M | -49.60%168.26M | -45.79%225.62M | -46.67%256.49M | -46.67%256.49M | -48.34%295.82M |
-Cash and cash equivalents | -52.24%68.18M | -80.30%39.45M | -80.75%44.54M | -80.75%44.54M | -77.22%67.4M | -57.24%142.77M | -51.87%200.31M | -51.88%231.42M | -51.88%231.42M | -48.34%295.82M |
-Short-term investments | --0 | --0 | -77.53%5.63M | -77.53%5.63M | --25.5M | --25.49M | --25.31M | --25.07M | --25.07M | ---- |
Receivables | -6.44%115.85M | 23.24%135.71M | 42.88%177.48M | 42.88%177.48M | 56.47%136.46M | -8.58%123.82M | 5.21%110.11M | 19.15%124.22M | 19.15%124.22M | 2.40%87.21M |
-Accounts receivable | -1.05%104.98M | 38.95%123.54M | 16.27%138.72M | 16.27%138.72M | 40.62%116.3M | 1.05%106.09M | 11.18%88.91M | 34.48%119.3M | 34.48%119.3M | 23.00%82.71M |
-Notes receivable | -38.66%10.87M | -42.64%12.16M | 980.87%23.74M | 980.87%23.74M | 347.52%20.16M | -41.79%17.72M | -14.12%21.2M | -80.29%2.2M | -80.29%2.2M | -56.09%4.51M |
-Taxes receivable | ---- | ---- | 492.98%14.28M | 492.98%14.28M | ---- | ---- | ---- | -41.35%2.41M | -41.35%2.41M | ---- |
-Related party accounts receivable | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | --0 |
-Other receivables | ---- | ---- | 141.48%751K | 141.48%751K | ---- | ---- | ---- | 53.20%311K | 53.20%311K | ---- |
Inventory | 75.78%152.51M | 56.65%137.33M | 77.74%149.75M | 77.74%149.75M | 54.28%126.91M | 34.60%86.76M | 50.94%87.67M | 57.70%84.25M | 57.70%84.25M | 72.02%82.26M |
Prepaid assets | ---- | ---- | 14.38%10.72M | 14.38%10.72M | ---- | ---- | ---- | -26.87%9.37M | -26.87%9.37M | ---- |
Restricted cash | 26.12%34.74M | -25.71%44.69M | -47.02%37.48M | -47.02%37.48M | -73.79%21.8M | -56.33%27.54M | 10.26%60.16M | 28.19%70.73M | 28.19%70.73M | 108.47%83.18M |
Other current assets | -19.13%16.68M | 55.68%20.97M | ---- | ---- | 35.57%25.84M | 41.90%20.62M | -31.58%13.47M | ---- | ---- | --19.06M |
Total current assets | -2.10%418.05M | -23.92%378.15M | -21.92%425.61M | -21.92%425.61M | -28.83%403.91M | -30.16%427M | -23.90%497.04M | -22.86%545.07M | -22.86%545.07M | -24.42%567.53M |
Non current assets | ||||||||||
Net PPE | 3.89%539.03M | 37.65%635.29M | 82.12%640.17M | 82.12%640.17M | 88.55%569.16M | 75.54%518.85M | 59.34%461.51M | 38.90%351.51M | 38.90%351.51M | 35.50%301.86M |
-Gross PPE | 3.89%539.03M | 37.65%635.29M | 65.44%748.48M | 65.44%748.48M | 88.55%569.16M | 75.54%518.85M | 59.34%461.51M | 32.36%452.41M | 32.36%452.41M | --301.86M |
-Accumulated depreciation | ---- | ---- | -7.34%-108.31M | -7.34%-108.31M | ---- | ---- | ---- | -13.70%-100.9M | -13.70%-100.9M | ---- |
Goodwill and other intangible assets | -5.27%14.42M | -9.88%14.7M | 5.92%15.12M | 5.92%15.12M | 6.56%14.94M | 1.96%15.22M | 3.09%16.31M | -10.16%14.28M | -10.16%14.28M | -12.12%14.02M |
-Other intangible assets | -5.27%14.42M | -9.88%14.7M | 5.92%15.12M | 5.92%15.12M | 6.56%14.94M | 1.96%15.22M | 3.09%16.31M | -10.16%14.28M | -10.16%14.28M | -12.12%14.02M |
Related parties assets | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | --0 |
Other non current assets | -64.33%13.06M | -57.03%12.51M | -78.64%15.83M | -78.64%15.83M | -68.11%28.55M | -26.47%36.61M | -27.36%29.12M | 275.45%74.11M | 275.45%74.11M | 12,652.14%89.52M |
Total non current assets | -0.73%566.51M | 30.68%662.5M | 52.57%671.13M | 52.57%671.13M | 51.12%612.65M | 58.40%570.68M | 46.71%506.95M | 52.38%439.89M | 52.38%439.89M | 69.32%405.4M |
Total assets | -1.31%984.56M | 3.65%1.04B | 11.35%1.1B | 11.35%1.1B | 4.48%1.02B | 2.68%997.67M | 0.53%1B | -1.04%984.96M | -1.04%984.96M | -1.76%972.93M |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Payables | 24.39%178.43M | 67.58%177.11M | 167.18%216.74M | 167.18%216.74M | 121.75%178.43M | 106.45%143.44M | 95.73%105.69M | 34.09%81.12M | 34.09%81.12M | 58.82%80.47M |
-accounts payable | 47.08%79.89M | 101.42%83.07M | 150.35%112.62M | 150.35%112.62M | 164.91%95.29M | 37.25%54.32M | 28.86%41.24M | 11.33%44.99M | 11.33%44.99M | -1.60%35.97M |
-Total tax payable | -71.33%1.77M | -80.63%1.23M | 11.76%7.77M | 11.76%7.77M | 14.03%7.36M | 436.70%6.16M | 277.39%6.33M | 336.81%6.95M | 336.81%6.95M | 491.74%6.45M |
-Other payable | 16.64%96.77M | 59.70%92.82M | 230.16%96.35M | 230.16%96.35M | 99.19%75.78M | 188.53%82.97M | 186.13%58.12M | 57.75%29.18M | 57.75%29.18M | 192.26%38.04M |
Current accrued expenses | 42.89%11.55M | 45.83%11.25M | 87.51%14.35M | 87.51%14.35M | -19.32%7.81M | -9.42%8.09M | -17.65%7.71M | -1.30%7.66M | -1.30%7.66M | 29.64%9.68M |
Current provisions | 73.18%13.6M | 18.81%13.4M | 5.32%13.74M | 5.32%13.74M | 22.88%15.18M | -47.08%7.86M | -35.25%11.28M | -37.65%13.04M | -37.65%13.04M | -33.92%12.35M |
Current debt and capital lease obligation | 56.88%111.67M | 15.95%106.92M | 15.27%101.18M | 15.27%101.18M | -40.03%66.56M | -39.05%71.18M | 6.98%92.21M | 18.21%87.77M | 18.21%87.77M | 68.23%111M |
-Current debt | 58.90%108.42M | 16.45%104.39M | 15.06%98.77M | 15.06%98.77M | -41.20%64.15M | -40.50%68.23M | 6.71%89.65M | 15.60%85.84M | 15.60%85.84M | 65.35%109.1M |
-Current capital lease obligation | 10.08%3.24M | -1.41%2.53M | 24.77%2.41M | 24.77%2.41M | 26.97%2.42M | 39.89%2.95M | 17.68%2.56M | --1.93M | --1.93M | --1.9M |
Current deferred liabilities | -23.08%40.81M | -22.21%41.28M | -20.51%43.09M | -20.51%43.09M | 726.86%54.48M | 1,064.06%53.06M | 1,373.45%53.06M | 3,452.23%54.21M | 3,452.23%54.21M | 181.22%6.59M |
Other current liabilities | 81.39%16.49M | 113.56%16.67M | 66.26%14.31M | 66.26%14.31M | 18.56%13.93M | -22.14%9.09M | -27.85%7.8M | -19.07%8.61M | -19.07%8.61M | 38.78%11.75M |
Current liabilities | 27.28%372.55M | 31.99%366.62M | 59.82%403.41M | 59.82%403.41M | 45.10%336.39M | 29.37%292.71M | 53.12%277.75M | 43.75%252.41M | 43.75%252.41M | 50.92%231.84M |
Non current liabilities | ||||||||||
Long term provisions | -29.64%20.58M | -22.18%22.05M | -25.98%21.48M | -25.98%21.48M | -31.57%18.17M | 1.36%29.25M | -16.70%28.33M | -22.70%29.02M | -22.70%29.02M | -19.95%26.56M |
Long term debt and capital lease obligation | 15.19%107.04M | 15.29%102.42M | 19.23%104.01M | 19.23%104.01M | -3.88%91.68M | 57.96%92.92M | -0.51%88.84M | 19.26%87.23M | 19.26%87.23M | 30.39%95.37M |
-Long term debt | 21.03%90.67M | 18.05%86.19M | 19.25%86.92M | 19.25%86.92M | -8.70%74.73M | 70.70%74.92M | -0.19%73.01M | -0.36%72.89M | -0.36%72.89M | 11.89%81.84M |
-Long term capital lease obligation | -9.11%16.36M | 2.58%16.23M | 19.10%17.09M | 19.10%17.09M | 25.28%16.95M | 20.53%18M | -1.99%15.83M | --14.35M | --14.35M | --13.53M |
Non current deferred liabilities | 118.30%6.1M | 6.87%3.19M | 10.31%3.38M | 10.31%3.38M | -12.04%2.65M | -15.64%2.79M | 34.38%2.99M | 34.12%3.07M | 34.12%3.07M | 28.83%3.01M |
Employee benefits | 11.76%190K | 42.75%197K | 51.91%199K | 51.91%199K | 62.61%187K | 71.72%170K | -99.58%138K | -99.31%131K | -99.31%131K | -98.70%115K |
Derivative product liabilities | -97.25%3K | -77.06%25K | -46.83%67K | -46.83%67K | -17.93%151K | -61.75%109K | -92.92%109K | -88.60%126K | -88.60%126K | -92.52%184K |
Total non current liabilities | 6.92%133.91M | 6.22%127.88M | 8.00%129.13M | 8.00%129.13M | -9.90%112.83M | 37.06%125.25M | -24.73%120.4M | -10.10%119.57M | -10.10%119.57M | 4.40%125.24M |
Total liabilities | 21.17%506.46M | 24.20%494.5M | 43.16%532.54M | 43.16%532.54M | 25.81%449.22M | 31.58%417.96M | 16.64%398.15M | 20.54%371.98M | 20.54%371.98M | 30.52%357.07M |
Shareholders'equity | ||||||||||
Share capital | 3.23%32K | 3.23%32K | 3.23%32K | 3.23%32K | 3.23%32K | 3.33%31K | 3.33%31K | 3.33%31K | 3.33%31K | 3.33%31K |
-common stock | 3.23%32K | 3.23%32K | 3.23%32K | 3.23%32K | 3.23%32K | 3.33%31K | 3.33%31K | 3.33%31K | 3.33%31K | 3.33%31K |
Retained earnings | -18.18%-1B | -12.38%-922.33M | -13.44%-897.5M | -13.44%-897.5M | -15.25%-872.97M | -17.47%-846.84M | -21.28%-820.75M | -25.16%-791.17M | -25.16%-791.17M | -29.38%-757.47M |
Paid-in capital | 3.71%1.51B | 4.11%1.49B | 4.60%1.48B | 4.60%1.48B | 5.01%1.47B | 5.32%1.45B | 8.62%1.43B | 8.43%1.42B | 8.43%1.42B | 8.28%1.4B |
Gains losses not affecting retained earnings | 1.88%-27.19M | -151.29%-24.7M | -62.52%-19.58M | -62.52%-19.58M | -20.15%-29.89M | -614.81%-27.71M | -171.65%-9.83M | -194.63%-12.05M | -194.63%-12.05M | -325.86%-24.88M |
Total stockholders'equity | -17.24%478.1M | -9.53%546.15M | -7.96%564.19M | -7.96%564.19M | -8.20%565.35M | -11.67%577.67M | -8.17%603.68M | -10.74%612.98M | -10.74%612.98M | -14.08%615.86M |
Noncontrolling interests | ---- | ---- | ---- | ---- | --1.99M | --2.05M | --2.15M | ---- | ---- | ---- |
Total equity | -17.53%478.1M | -9.85%546.15M | -7.96%564.19M | -7.96%564.19M | -7.88%567.34M | -11.36%579.72M | -7.84%605.83M | -10.74%612.98M | -10.74%612.98M | -14.08%615.86M |
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 with Explanatory Notes | -- | -- | -- | -- | -- | -- | -- |
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