(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 | |
---|---|---|---|---|---|---|---|---|---|---|
Assets | ||||||||||
Current assets | ||||||||||
Cash, cash equivalents and short term investments | -51.64%8.87M | -51.64%8.87M | 62.26%13.92M | -42.16%10.97M | -19.59%13.62M | 52.35%18.34M | 52.35%18.34M | -56.94%8.58M | -34.35%18.97M | -33.04%16.94M |
-Cash and cash equivalents | -51.64%8.87M | -51.64%8.87M | 62.26%13.92M | -42.16%10.97M | -19.59%13.62M | 52.35%18.34M | 52.35%18.34M | -56.94%8.58M | -34.35%18.97M | -33.04%16.94M |
Receivables | 16.79%12.61M | 16.79%12.61M | 0.54%8.92M | 26.26%8.74M | 16.77%9.32M | 2.87%10.8M | 2.87%10.8M | 9.68%8.87M | 11.54%6.92M | -16.85%7.99M |
-Accounts receivable | 16.79%12.61M | 16.79%12.61M | 0.54%8.92M | 26.26%8.74M | 16.77%9.32M | 2.87%10.8M | 2.87%10.8M | 9.68%8.87M | 11.54%6.92M | -16.85%7.99M |
Inventory | 1.18%120.67M | 1.18%120.67M | 0.54%117.34M | 1.12%117.35M | 4.22%116.08M | 4.84%119.26M | 4.84%119.26M | 4.83%116.71M | 8.82%116.05M | 9.46%111.38M |
Other current assets | 18.16%4.91M | 18.16%4.91M | -17.21%5.03M | -0.81%3.81M | 10.54%4.24M | -4.99%4.15M | -4.99%4.15M | 44.00%6.07M | 10.83%3.84M | 6.03%3.83M |
Total current assets | -3.60%147.06M | -3.60%147.06M | 3.54%145.2M | -3.37%140.87M | 2.23%143.26M | 8.45%152.55M | 8.45%152.55M | -2.31%140.23M | 0.39%145.78M | -0.10%140.13M |
Non current assets | ||||||||||
Net PPE | -1.52%494.47M | -1.52%494.47M | -1.24%495.12M | 2.01%501.41M | 0.45%505.47M | -1.13%502.11M | -1.13%502.11M | -1.07%501.33M | -0.98%491.51M | 0.39%503.2M |
-Gross PPE | 1.61%773.97M | 1.61%773.97M | 1.32%769.65M | 3.21%770.41M | 2.11%768.24M | 1.37%761.74M | 1.37%761.74M | 1.65%759.6M | 2.21%746.47M | 2.98%752.39M |
-Accumulated depreciation | -7.65%-279.5M | -7.65%-279.5M | -6.29%-274.53M | -5.50%-268.99M | -5.45%-262.77M | -6.60%-259.63M | -6.60%-259.63M | -7.40%-258.28M | -8.98%-254.96M | -8.65%-249.19M |
Goodwill and other intangible assets | -3.33%13.66M | -3.33%13.66M | -2.43%13.79M | -2.34%14M | -4.81%14.05M | -0.01%14.13M | -0.01%14.13M | 4.93%14.13M | 9.90%14.34M | 19.82%14.76M |
-Goodwill | 0.00%5.2M | 0.00%5.2M | 0.00%5.2M | 0.00%5.2M | 0.00%5.2M | 0.00%5.2M | 0.00%5.2M | 0.00%5.2M | 0.00%5.2M | 0.00%5.2M |
-Other intangible assets | -5.26%8.46M | -5.26%8.46M | -3.84%8.59M | -3.67%8.8M | -7.42%8.85M | -0.02%8.93M | -0.02%8.93M | 8.03%8.94M | 16.46%9.14M | 34.29%9.56M |
Non current deferred assets | -38.65%127K | -38.65%127K | ---- | ---- | ---- | --207K | --207K | ---- | ---- | ---- |
Non current prepaid assets | -15.05%158K | -15.05%158K | ---- | ---- | ---- | --186K | --186K | ---- | ---- | ---- |
Other non current assets | 0.00%2K | 0.00%2K | -31.77%277K | -31.75%288K | -13.53%377K | -99.56%2K | -99.56%2K | -11.74%406K | -11.16%422K | -18.35%436K |
Total non current assets | -1.59%508.42M | -1.59%508.42M | -1.29%509.19M | 1.86%515.7M | 0.29%519.9M | -1.11%516.64M | -1.11%516.64M | -0.93%515.87M | -0.71%506.27M | 0.84%518.4M |
Total assets | -2.05%655.48M | -2.05%655.48M | -0.26%654.39M | 0.69%656.57M | 0.70%663.16M | 0.92%669.19M | 0.92%669.19M | -1.23%656.1M | -0.47%652.05M | 0.64%658.53M |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Payables | 8.27%98M | 8.27%98M | 8.76%87.06M | 11.15%92.59M | 9.00%91.51M | 13.53%90.52M | 13.53%90.52M | 5.26%80.04M | 11.11%83.31M | 14.50%83.95M |
-accounts payable | 9.57%88.4M | 9.57%88.4M | 9.01%79.31M | 11.18%84.18M | 8.05%81.59M | 13.18%80.68M | 13.18%80.68M | 4.79%72.76M | 11.30%75.71M | 15.96%75.51M |
-Total tax payable | -2.41%9.61M | -2.41%9.61M | 6.26%7.75M | 10.84%8.41M | 17.51%9.92M | 16.50%9.84M | 16.50%9.84M | 10.16%7.29M | 9.24%7.59M | 2.93%8.44M |
Current accrued expenses | 14.01%24.35M | 14.01%24.35M | 54.01%20.95M | 40.97%22.03M | 48.30%19.85M | 29.18%21.35M | 29.18%21.35M | -3.50%13.6M | -3.42%15.63M | -13.09%13.38M |
Current debt and capital lease obligation | -1.00%39.89M | -1.00%39.89M | 3.51%41.55M | 8.43%43.41M | 13.23%45.29M | 1.47%40.29M | 1.47%40.29M | 1.75%40.14M | 2.91%40.03M | 3.75%40M |
-Current debt | ---- | ---- | -3.60%1.69M | 110.74%3.69M | 225.03%5.69M | 0.00%1.75M | 0.00%1.75M | 0.00%1.75M | 0.00%1.75M | 0.00%1.75M |
-Current capital lease obligation | 3.49%39.89M | 3.49%39.89M | 3.83%39.86M | 3.75%39.72M | 3.53%39.6M | 1.53%38.54M | 1.53%38.54M | 1.83%38.39M | 3.05%38.28M | 3.92%38.25M |
Current deferred liabilities | 1.55%1.9M | 1.55%1.9M | -3.96%1.96M | 4.48%1.87M | 0.86%2.22M | 6.20%1.87M | 6.20%1.87M | 17.73%2.05M | 0.79%1.79M | 0.23%2.2M |
Current liabilities | 6.56%164.13M | 6.56%164.13M | 11.55%151.52M | 13.60%159.9M | 13.85%158.87M | 11.84%154.03M | 11.84%154.03M | 3.43%135.83M | 6.77%140.75M | 7.77%139.54M |
Non current liabilities | ||||||||||
Long term debt and capital lease obligation | -7.05%306.62M | -7.05%306.62M | -4.16%323.16M | -2.80%323.91M | -2.39%336.44M | -6.72%329.89M | -6.72%329.89M | -6.78%337.19M | -5.87%333.24M | -4.17%344.69M |
-Long term debt | ---- | ---- | 109.12%16.6M | 14.71%11.4M | 54.13%18.4M | -57.40%5.94M | -57.40%5.94M | -50.19%7.94M | -44.60%9.94M | -40.12%11.94M |
-Long term capital lease obligation | -5.35%306.62M | -5.35%306.62M | -6.89%306.56M | -3.34%312.51M | -4.42%318.04M | -4.64%323.95M | -4.64%323.95M | -4.78%329.26M | -3.80%323.3M | -2.06%332.75M |
Non current deferred liabilities | -27.42%10.47M | -27.42%10.47M | -26.19%11.91M | -20.32%12.79M | -13.18%14M | -9.28%14.43M | -9.28%14.43M | 3.63%16.13M | 4.22%16.05M | 3.07%16.12M |
Total non current liabilities | -7.91%317.09M | -7.91%317.09M | -5.17%335.06M | -3.60%336.7M | -2.88%350.43M | -6.83%344.32M | -6.83%344.32M | -6.35%353.33M | -5.45%349.29M | -3.87%360.81M |
Total liabilities | -3.44%481.22M | -3.44%481.22M | -0.53%486.58M | 1.34%496.6M | 1.79%509.3M | -1.76%498.34M | -1.76%498.34M | -3.82%489.16M | -2.24%490.04M | -0.88%500.34M |
Shareholders'equity | ||||||||||
Share capital | 0.00%23K | 0.00%23K | 0.00%23K | 0.00%23K | 0.00%23K | 0.00%23K | 0.00%23K | 0.00%23K | 0.00%23K | 0.00%23K |
-common stock | 0.00%23K | 0.00%23K | 0.00%23K | 0.00%23K | 0.00%23K | 0.00%23K | 0.00%23K | 0.00%23K | 0.00%23K | 0.00%23K |
Retained earnings | 1.82%113.9M | 1.82%113.9M | -1.01%107.18M | -3.11%100.25M | -5.30%94.56M | 14.48%111.87M | 14.48%111.87M | 10.67%108.26M | 7.60%103.47M | 8.45%99.85M |
Paid-in capital | 2.23%60.33M | 2.23%60.33M | 3.20%60.6M | 2.03%59.71M | 1.65%59.28M | 1.62%59.01M | 1.62%59.01M | 1.63%58.73M | 1.49%58.52M | 1.48%58.31M |
Less: Treasury stock | --0 | --0 | --0 | --0 | --0 | --66K | --66K | --76K | ---- | ---- |
Total stockholders'equity | 2.00%174.25M | 2.00%174.25M | 0.52%167.8M | -1.25%159.97M | -2.73%153.86M | 9.65%170.84M | 9.65%170.84M | 7.26%166.94M | 5.31%162.01M | 5.77%158.19M |
Total equity | 2.00%174.25M | 2.00%174.25M | 0.52%167.8M | -1.25%159.97M | -2.73%153.86M | 9.65%170.84M | 9.65%170.84M | 7.26%166.94M | 5.31%162.01M | 5.77%158.19M |
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