(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 | |
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Operating Cash Flow (Indirect Method) | ||||||||||
Cash flow from continuing operating activities | 111.24%28.8M | -77.07%10.24M | -91.96%-11.36M | 72.16%56.58M | -69.73%4.2M | -53.03%13.64M | 6,280.00%44.66M | 44.87%-5.92M | 356.80%32.86M | 203.67%13.87M |
Net income from continuing operations | -440.67%-14.35M | 133.15%1.3M | -719.74%-13.37M | 235.13%12.89M | 106.69%5.96M | 96.55%4.21M | 110.85%558K | 122.90%2.16M | 85.09%-9.54M | 114.52%2.89M |
Operating gains losses | 42.29%-1.6M | -78.06%-625K | -492.86%-1.25M | -34.40%-4.08M | 50.47%-740K | -685.84%-2.77M | 45.33%-351K | 61.33%-210K | -158.26%-3.03M | -123.32%-1.49M |
Depreciation and amortization | -11.55%13.64M | -5.40%14.7M | -6.95%14.2M | -9.74%60.78M | -8.17%14.57M | -6.07%15.42M | -9.87%15.54M | -14.37%15.26M | -16.60%67.33M | -14.96%15.87M |
Deferred tax | 53.06%-499K | -295.84%-1.18M | -383.33%-1.12M | -88.81%226K | -59.72%292K | 17.53%-1.06M | -78.21%601K | 327.59%396K | 123.38%2.02M | -57.38%725K |
Other non cash items | 651.43%789K | 56.60%249K | -54.29%213K | -79.83%797K | -95.40%67K | -81.61%105K | -82.43%159K | -54.27%466K | 119.19%3.95M | 503.60%1.46M |
Change In working capital | 472.42%15.11M | -124.67%-6.51M | 14.84%-21.78M | 39.53%-21M | -144.69%-17.75M | -141.06%-4.06M | 264.03%26.38M | -20.26%-25.57M | -102.24%-34.72M | 69.43%-7.25M |
-Change in receivables | 347.35%23.51M | -109.84%-3.91M | 311.95%1.58M | 148.34%17.13M | -61.16%-12.41M | -30.62%-9.5M | 449.53%39.79M | 91.80%-745K | -45.22%-35.44M | 69.83%-7.7M |
-Change in inventory | 22.96%-1.97M | 10.34%-7.53M | 30.41%-8.91M | -13.99%-19.79M | 200.99%3.96M | 36.33%-2.56M | -433.35%-8.4M | 2.20%-12.8M | -68.03%-17.36M | 203.93%1.32M |
-Change in payables and accrued expense | -195.73%-8.05M | 229.70%9.85M | -5.60%-19.36M | -164.58%-11.74M | -38.00%5.77M | -43.44%8.41M | -427.80%-7.6M | -302.39%-18.33M | 2.57%18.18M | 131.65%9.31M |
-Change in other working capital | 500.25%1.62M | -290.10%-4.92M | -22.16%4.91M | -6,492.00%-6.59M | -48.08%-15.08M | -106.42%-405K | 253.17%2.59M | 15.31%6.3M | 35.90%-100K | -282.78%-10.18M |
Cash from discontinued investing activities | ||||||||||
Operating cash flow | 111.24%28.8M | -77.07%10.24M | -91.96%-11.36M | 72.16%56.58M | -69.73%4.2M | -53.03%13.64M | 6,280.00%44.66M | 44.87%-5.92M | 356.80%32.86M | 203.67%13.87M |
Investing cash flow | ||||||||||
Cash flow from continuing investing activities | -113.61%-5.13M | 144.86%4.63M | -22.45%-7.83M | -12.59%-25.59M | -91.42%-6.47M | 62.08%-2.4M | 5.79%-10.32M | -210.94%-6.39M | -242.97%-22.73M | -160.40%-3.38M |
Capital expenditure reported | -23.14%-7.43M | 46.25%-5.79M | -53.65%-10.09M | -51.25%-30.65M | -4.00%-7.28M | 11.42%-6.03M | -199.58%-10.77M | -129.81%-6.57M | -15.69%-20.27M | -7.08%-7M |
Net PPE purchase and sale | -27.80%2.66M | 2,138.97%10.46M | 929.15%2.3M | -10.62%5.25M | -76.02%879K | 559.03%3.68M | -40.36%467K | -74.34%223K | -49.02%5.88M | -31.69%3.67M |
Net business purchase and sale | ---- | ---- | ---- | --0 | ---- | ---- | ---- | ---- | ---8.13M | --0 |
Net other investing changes | -572.22%-363K | -105.56%-37K | 35.42%-31K | 11.85%-186K | -53.49%-66K | 34.94%-54K | 0.00%-18K | 28.36%-48K | 66.82%-211K | 65.60%-43K |
Cash from discontinued investing activities | ||||||||||
Investing cash flow | -113.61%-5.13M | 144.86%4.63M | -22.45%-7.83M | -12.59%-25.59M | -91.42%-6.47M | 62.08%-2.4M | 5.79%-10.32M | -210.94%-6.39M | -242.97%-22.73M | -160.40%-3.38M |
Financing cash flow | ||||||||||
Cash flow from continuing financing activities | -2,362.50%-2.96M | -65.10%-13.55M | 74.36%-3.69M | -31.67%-26.72M | -67.57%-4.01M | 98.82%-120K | -26.57%-8.21M | -1,075.63%-14.38M | -3.68%-20.29M | -1,222.10%-2.39M |
Net issuance payments of debt | -42.98%-163K | -115.04%-11.01M | 98.76%-154K | 7.35%-17.77M | 95.06%-117K | 98.88%-114K | 20.82%-5.12M | -7,427.88%-12.42M | -88.39%-19.18M | -1,253.71%-2.37M |
Net common stock issuance | ---2.78M | 20.91%-2.38M | -33.16%-2.58M | -779.74%-8.82M | ---3.87M | --0 | -25,008.33%-3.01M | -95.56%-1.94M | 37.18%-1M | --0 |
Net other financing activities | -33.33%-8K | -112.16%-157K | -4,442.86%-954K | -21.90%-128K | -12.50%-27K | 14.29%-6K | -1,133.33%-74K | 69.12%-21K | 98.65%-105K | -300.00%-24K |
Cash from discontinued financing activities | ||||||||||
Financing cash flow | -2,362.50%-2.96M | -65.10%-13.55M | 74.36%-3.69M | -31.67%-26.72M | -67.57%-4.01M | 98.82%-120K | -26.57%-8.21M | -1,075.63%-14.38M | -3.68%-20.29M | -1,222.10%-2.39M |
Net cash flow | ||||||||||
Beginning cash position | -40.62%25.19M | 52.20%24.06M | 12.12%47.11M | -20.50%42.02M | 59.82%52.9M | 90.69%42.42M | -59.63%15.81M | -20.50%42.02M | -26.61%52.85M | -51.00%33.1M |
Current changes in cash | 86.41%20.72M | -94.94%1.32M | 14.29%-22.87M | 142.10%4.27M | -177.59%-6.28M | -11.13%11.11M | 256.11%26.13M | -90.45%-26.69M | 46.57%-10.15M | 154.49%8.1M |
Effect of exchange rate changes | 112.72%80K | -140.12%-193K | -137.24%-178K | 220.09%819K | -40.29%489K | 61.83%-629K | 378.03%481K | 49.38%478K | -328.93%-682K | 453.38%819K |
End cash Position | -13.08%45.98M | -40.62%25.19M | 52.20%24.06M | 12.12%47.11M | 12.12%47.11M | 59.82%52.9M | 90.69%42.42M | -59.63%15.81M | -20.50%42.02M | -20.50%42.02M |
Free cash flow | 181.13%21.37M | -86.86%4.45M | -71.81%-21.45M | 105.80%25.92M | -144.93%-3.09M | -65.78%7.6M | 1,270.64%33.89M | 8.14%-12.49M | 222.02%12.6M | 134.47%6.87M |
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 | -- |
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