(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 | 15.72%326M | 26.97%302.29M | -60.96%47.25M | 30.30%949.15M | 11.70%308.35M | 36.15%281.7M | 56.34%238.09M | 29.83%121.01M | 158.63%728.45M | 78.92%276.05M |
Net income from continuing operations | 56.39%99.32M | 305.58%138.05M | 166.48%112.01M | 648.72%220.78M | 4,526.32%81.19M | 734.60%63.51M | 475.46%34.04M | 283.43%42.03M | 97.77%-40.24M | 113.08%1.76M |
Operating gains losses | 33.02%4.36M | 26.38%-2.56M | 937.52%13.88M | 128.54%9.85M | 1,568.97%8.71M | -1.86%3.28M | 83.11%-3.48M | 107.53%1.34M | -153.17%-34.5M | -91.00%522K |
Depreciation and amortization | 23.46%73.62M | -48.78%60.69M | -18.97%59M | 19.81%310.57M | -10.03%59.63M | -9.75%59.63M | 81.95%118.5M | 17.93%72.81M | 126.28%259.21M | 42.31%66.27M |
Deferred tax | -62.11%1.98M | 242.43%14.02M | 126.37%8.11M | 146.84%5.86M | 441.42%6.9M | 134.98%5.22M | -471.55%-9.85M | 99.94%3.58M | 76.07%-12.51M | 85.94%-2.02M |
Other non cash items | 80.70%16.7M | -53.67%3.92M | 215,775.00%8.64M | -15.60%26.88M | -56.31%9.18M | 80.95%9.24M | 204.72%8.46M | -99.86%4K | -96.20%31.85M | -73.83%21.01M |
Change In working capital | -20.41%52.41M | 43.97%28.2M | -205.55%-220.11M | -39.64%62.65M | -36.08%49.25M | 33.69%65.85M | 191.81%19.59M | -146.52%-72.04M | 217.47%103.79M | 348.06%77.05M |
-Change in receivables | -782.45%-85.02M | -36.88%-50.03M | -128.84%-16.82M | 93.17%-8.75M | -305.83%-20.86M | 88.82%-9.64M | 43.74%-36.55M | 348.68%58.3M | -21.50%-128.03M | 137.31%10.14M |
-Change in payables and accrued expense | 108.29%141.71M | 62.74%75.27M | -53.46%-213.32M | -76.54%46.03M | 26.66%70.75M | -47.47%68.03M | -30.03%46.25M | -151.65%-139.01M | 226.42%196.22M | 89.90%55.85M |
-Change in other current assets | -157.38%-4.27M | -70.06%2.96M | 15.68%10.03M | -28.75%25.37M | -105.72%-633K | 25.37%7.45M | 77.09%9.89M | -33.44%8.67M | 182.62%35.6M | -26.03%11.06M |
Cash from discontinued investing activities | ||||||||||
Operating cash flow | 15.72%326M | 26.97%302.29M | -60.96%47.25M | 30.30%949.15M | 11.70%308.35M | 36.15%281.7M | 56.34%238.09M | 29.83%121.01M | 158.63%728.45M | 78.92%276.05M |
Investing cash flow | ||||||||||
Cash flow from continuing investing activities | -1,087.31%-441.84M | -497.67%-134.69M | 55.38%-15.33M | 75.67%-118.03M | 82.83%-23.92M | 78.21%-37.21M | 85.22%-22.54M | -51.99%-34.36M | 69.65%-485.22M | 57.09%-139.34M |
Net PPE purchase and sale | 39.32%-11.24M | -223.06%-32.89M | -8.27%-6.14M | -3.61%-67.91M | -40.28%-33.53M | -34.23%-18.52M | -7.62%-10.18M | 69.14%-5.67M | -1,145.75%-65.54M | -642.82%-23.9M |
Net business purchase and sale | -1,452.49%-407.45M | ---- | ---- | 77.05%-26.27M | ---20K | ---26.25M | ---- | ---- | 92.75%-114.45M | --0 |
Net investment purchase and sale | -406.69%-23.16M | -497.66%-73.84M | 67.97%-9.19M | 92.18%-23.86M | 108.34%9.63M | 104.81%7.55M | 56.79%-12.36M | -578.52%-28.69M | -1,970.02%-305.23M | -140.67%-115.44M |
Cash from discontinued investing activities | ||||||||||
Investing cash flow | -1,087.31%-441.84M | -497.67%-134.69M | 55.38%-15.33M | 75.67%-118.03M | 82.83%-23.92M | 78.21%-37.21M | 85.22%-22.54M | -51.99%-34.36M | 69.65%-485.22M | 57.09%-139.34M |
Financing cash flow | ||||||||||
Cash flow from continuing financing activities | 1.97%-205M | 153.45%113.39M | 116.85%19.68M | -265.17%-795.03M | -137.57%-256.96M | -361.29%-209.11M | -54.84%-212.14M | -260.49%-116.82M | -116.15%-217.72M | -245.84%-108.17M |
Net issuance payments of debt | 999.64%90M | 4,072.15%405M | 178.57%390M | -87.88%54.8M | -166.33%-65M | -108.93%-10M | ---10.2M | -42.16%140M | -44.36%452.06M | -80.17%98M |
Net common stock issuance | ---- | ---- | ---- | --0 | ---- | ---- | ---- | ---- | ---78.79M | ---44.82M |
Cash dividends paid | -58.87%-101.22M | -50.07%-93.7M | -12.56%-65.2M | -35.79%-247.88M | -21.24%-63.82M | -31.00%-63.71M | -53.12%-62.44M | -43.00%-57.92M | -21.52%-182.55M | 61.61%-52.64M |
Proceeds from stock option exercised by employees | ---- | ---- | ---- | --0 | ---- | ---- | ---- | ---- | --151K | --0 |
Net other financing activities | -43.12%-193.78M | -41.86%-197.91M | -53.41%-305.12M | -47.32%-601.95M | -17.88%-128.15M | -36.60%-135.4M | -44.97%-139.51M | -90.27%-198.89M | -159.57%-408.59M | 61.57%-108.71M |
Cash from discontinued financing activities | ||||||||||
Financing cash flow | 1.97%-205M | 153.45%113.39M | 116.85%19.68M | -265.17%-795.03M | -137.57%-256.96M | -361.29%-209.11M | -54.84%-212.14M | -260.49%-116.82M | -116.15%-217.72M | -245.84%-108.17M |
Net cash flow | ||||||||||
Beginning cash position | 956.97%436.75M | 310.83%155.76M | 53.00%104.16M | 59.93%68.08M | 94.00%76.7M | -15.20%41.32M | -79.61%37.91M | 59.93%68.08M | 266.01%42.57M | -71.53%39.53M |
Current changes in cash | -1,007.02%-320.85M | 8,145.07%280.99M | 271.05%51.6M | 41.43%36.08M | -3.78%27.47M | 484.67%35.37M | 102.48%3.41M | -121.04%-30.17M | -17.54%25.51M | 129.64%28.55M |
End cash Position | 51.12%115.9M | 956.97%436.75M | 310.83%155.76M | 53.00%104.16M | 53.00%104.16M | 94.00%76.7M | -15.20%41.32M | -79.61%37.91M | 59.93%68.08M | 59.93%68.08M |
Free cash flow | 19.60%314.76M | 18.21%269.4M | -64.36%41.11M | 32.94%881.24M | 8.99%274.82M | 36.29%263.18M | 59.56%227.9M | 54.14%115.34M | 139.84%662.91M | 66.91%252.15M |
Currency Unit | USD | USD | USD | USD | USD | USD | USD | USD | USD | USD |
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