(Q3)Sep 30, 2024 | (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 | |
---|---|---|---|---|---|---|---|---|---|---|
Assets | ||||||||||
Current assets | ||||||||||
Cash, cash equivalents and short term investments | 18.76%69.89M | 33.97%58.98M | 44.90%64.23M | 84.02%64.98M | 84.02%64.98M | 76.18%58.85M | 36.10%44.02M | 66.55%44.33M | 41.17%35.31M | 41.17%35.31M |
-Cash and cash equivalents | 18.76%69.89M | 33.97%58.98M | 44.90%64.23M | 84.02%64.98M | 84.02%64.98M | 76.18%58.85M | 36.10%44.02M | 66.55%44.33M | 41.17%35.31M | 41.17%35.31M |
Receivables | -4.69%26.97M | -9.51%24.61M | -13.51%17.92M | -2.64%22.07M | -2.64%22.07M | 38.26%28.3M | 81.42%27.2M | 45.92%20.72M | 72.61%22.67M | 72.61%22.67M |
-Accounts receivable | -28.23%9.6M | -28.87%9.45M | -37.39%8.74M | -24.98%9.84M | -24.98%9.84M | 32.45%13.38M | 72.62%13.28M | 115.93%13.96M | 110.66%13.12M | 110.66%13.12M |
-Related party accounts receivable | 16.43%17.37M | 8.98%15.16M | 35.85%9.18M | 28.06%12.23M | 28.06%12.23M | 43.93%14.92M | 90.69%13.92M | -12.62%6.76M | 38.29%9.55M | 38.29%9.55M |
Restricted cash | 374.13%8.54M | 144.44%8.06M | 231.03%24.85M | 229.80%22.71M | 229.80%22.71M | -55.12%1.8M | 0.86%3.3M | 196.56%7.51M | 140.64%6.89M | 140.64%6.89M |
Other current assets | -8.73%12.59M | -9.08%12.7M | -25.31%9M | -43.63%14.74M | -43.63%14.74M | --13.79M | --13.97M | --12.05M | 173.83%26.16M | 173.83%26.16M |
Total current assets | 14.84%117.99M | 17.93%104.36M | 37.11%116M | 641.23%674.71M | 641.23%674.71M | 47.78%102.74M | 42.18%88.49M | 62.26%84.61M | 80.03%91.03M | 80.03%91.03M |
Non current assets | ||||||||||
Net PPE | -5.25%24.5M | 1.10%25.92M | -4.18%24.78M | -1.62%24.96M | -1.62%24.96M | 8.42%25.86M | 1.84%25.63M | -12.41%25.86M | 3.83%25.37M | 3.83%25.37M |
-Gross PPE | -5.25%24.5M | 1.10%25.92M | -4.18%24.78M | -1.62%24.96M | -1.62%24.96M | 8.42%25.86M | 1.84%25.63M | -12.41%25.86M | 3.83%25.37M | 3.83%25.37M |
Goodwill and other intangible assets | 134.68%155.5M | -8.07%62.63M | -11.47%63.18M | 19.33%64.92M | 19.33%64.92M | 11.14%66.26M | 7.24%68.14M | -0.04%71.36M | -29.81%54.4M | -29.81%54.4M |
-Goodwill | 0.00%8.18M | 0.00%8.18M | 0.00%8.18M | 0.00%8.18M | 0.00%8.18M | 0.00%8.18M | 0.00%8.18M | 0.00%8.18M | 0.00%8.18M | 0.00%8.18M |
-Other intangible assets | 153.66%147.32M | -9.18%54.45M | -12.95%54.99M | 22.75%56.74M | 22.75%56.74M | 12.91%58.08M | 8.31%59.95M | -0.05%63.18M | -33.33%46.22M | -33.33%46.22M |
Investments and advances | 19.63%257.38M | 5.13%230.3M | 7.57%240.03M | -7.07%211.36M | -7.07%211.36M | -7.14%215.15M | -6.41%219.06M | 20.91%223.14M | 20.86%227.44M | 20.86%227.44M |
Related parties assets | 16.43%17.37M | 8.98%15.16M | 35.85%9.18M | 28.06%12.23M | 28.06%12.23M | 43.93%14.92M | 90.69%13.92M | -12.62%6.76M | 38.29%9.55M | 38.29%9.55M |
Financial assets | -78.27%13.12M | -29.73%34.44M | -2.70%37.22M | -42.47%29.61M | -42.47%29.61M | 12.04%60.38M | 77.08%49.01M | 180.32%38.25M | --51.47M | --51.47M |
Non current deferred assets | -29.33%6.34M | -26.56%7.06M | -24.55%7.73M | 506.03%8.44M | 506.03%8.44M | 421.86%8.98M | 417.06%9.61M | 383.12%10.25M | -42.75%1.39M | -42.75%1.39M |
Total non current assets | -13.04%5.27B | -14.10%5.22B | -13.93%5.25B | -12.07%5.26B | -12.07%5.26B | 1.14%6.06B | 6.60%6.07B | 9.54%6.1B | 8.47%5.98B | 8.47%5.98B |
Total assets | -12.58%5.39B | -13.64%5.32B | -13.23%5.37B | -2.28%5.93B | -2.28%5.93B | 1.67%6.17B | 6.99%6.16B | 10.03%6.19B | 9.12%6.07B | 9.12%6.07B |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Payables | ---- | ---- | ---- | ---- | ---- | ---- | ---- | --78.6M | ---- | ---- |
-accounts payable | ---- | ---- | ---- | ---- | ---- | ---- | ---- | --78.6M | ---- | ---- |
Current debt and capital lease obligation | -49.90%406.8M | -59.64%222M | -79.11%138M | -23.19%381M | -23.19%381M | 87.96%812M | 92.98%550M | 55.41%660.5M | 1.22%496M | 1.22%496M |
-Current debt | -49.90%406.8M | -59.64%222M | -79.11%138M | -23.19%381M | -23.19%381M | 87.96%812M | 92.98%550M | 55.41%660.5M | 1.22%496M | 1.22%496M |
Current deferred liabilities | -23.07%20.78M | -14.71%21.43M | -9.29%22.36M | 17.84%27.35M | 17.84%27.35M | 16.70%27.01M | 5.95%25.12M | 5.50%24.65M | 4.53%23.21M | 4.53%23.21M |
Current liabilities | -43.48%536M | -49.18%336.47M | -67.50%248.24M | -16.42%501.12M | -16.42%501.12M | 73.18%948.37M | 75.69%662.13M | 50.04%763.76M | 4.92%599.59M | 4.92%599.59M |
Non current liabilities | ||||||||||
Long term debt and capital lease obligation | -0.49%3.04B | 1.69%3.17B | 5.42%3.17B | 7.16%3.3B | 7.16%3.3B | -0.62%3.06B | 8.12%3.11B | 15.78%3.01B | 24.49%3.08B | 24.49%3.08B |
-Long term debt | -0.44%3.02B | 1.76%3.14B | 5.51%3.15B | 7.27%3.28B | 7.27%3.28B | -0.68%3.03B | 8.13%3.09B | 15.86%2.98B | 24.65%3.06B | 24.65%3.06B |
-Long term capital lease obligation | -6.38%23.49M | -6.25%23.73M | -5.95%24.01M | -6.01%24.2M | -6.01%24.2M | 7.42%25.1M | 7.45%25.31M | 7.48%25.53M | 7.34%25.74M | 7.34%25.74M |
Derivative product liabilities | --7.77M | --0 | --0 | 614.29%3.45M | 614.29%3.45M | --0 | --0 | 108.92%7.98M | -98.57%483K | -98.57%483K |
Total non current liabilities | -0.24%3.05B | 1.69%3.17B | 5.14%3.17B | 7.25%3.3B | 7.25%3.3B | -0.62%3.06B | 8.12%3.11B | 15.92%3.02B | 22.83%3.08B | 22.83%3.08B |
Total liabilities | -10.47%3.59B | -7.23%3.5B | -9.54%3.42B | 3.40%3.81B | 3.40%3.81B | 10.53%4.01B | 15.94%3.78B | 21.50%3.78B | 19.51%3.68B | 19.51%3.68B |
Shareholders'equity | ||||||||||
Share capital | -0.02%341.41M | -0.04%341.4M | -0.03%341.42M | 50.87%341.47M | 50.87%341.47M | 50.87%341.48M | 50.88%341.54M | 55.57%341.53M | 3.19%226.34M | 3.19%226.34M |
-common stock | -8.19%762K | -15.12%752K | -12.91%769K | -8.35%823K | -8.35%823K | -8.69%830K | -3.49%886K | -3.50%883K | -1.54%898K | -1.54%898K |
-Preferred stock | 0.00%340.65M | 0.00%340.65M | 0.00%340.65M | 51.11%340.65M | 51.11%340.65M | 51.11%340.65M | 51.11%340.65M | 55.82%340.65M | 3.21%225.44M | 3.21%225.44M |
Retained earnings | -6.44%-498.79M | -5.37%-469.77M | -4.60%-439.74M | -13.43%-449.91M | -13.43%-449.91M | -24.97%-468.61M | -29.66%-445.81M | -33.45%-420.41M | -36.18%-396.65M | -36.18%-396.65M |
Paid-in capital | -26.94%1.12B | -23.57%1.29B | -20.22%1.35B | -15.10%1.51B | -15.10%1.51B | -14.70%1.54B | -8.10%1.69B | -7.73%1.69B | -4.76%1.78B | -4.76%1.78B |
Gains losses not affecting retained earnings | -55.99%19.54M | -29.87%25.88M | 10.67%27.84M | -48.04%21.06M | -48.04%21.06M | 3.62%44.4M | 51.43%36.91M | 114.36%25.15M | 306.67%40.53M | 306.67%40.53M |
Other equity interest | --167K | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
Total stockholders'equity | -32.25%986.87M | -26.71%1.19B | -21.91%1.28B | -13.71%1.42B | -13.71%1.42B | -14.25%1.46B | -7.06%1.63B | -6.39%1.64B | -7.16%1.65B | -7.16%1.65B |
Noncontrolling interests | 16.26%814.02M | -17.55%625.86M | -12.94%670.05M | -5.02%703.65M | -5.02%703.65M | -5.17%700.18M | 0.86%759.03M | 0.86%769.66M | 4.75%740.81M | 4.75%740.81M |
Total equity | -16.50%1.8B | -23.79%1.82B | -19.04%1.95B | -11.02%2.13B | -11.02%2.13B | -11.50%2.16B | -4.67%2.38B | -4.18%2.41B | -3.76%2.39B | -3.76%2.39B |
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 | -- |
No Data