(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 | 280.09%25.64M | -86.64%1.74M | -29.08%3.23M | -21.50%33.25M | -26.27%8.95M | -41.28%6.75M | 35.52%13.01M | -50.21%4.55M | 3.89%42.36M | -19.80%12.13M |
Net income from continuing operations | -164.29%-4.34M | -65.18%3.28M | -54.27%3.47M | -28.12%27.38M | -60.28%3.63M | -32.32%6.75M | 0.77%9.43M | -21.30%7.58M | -12.48%38.09M | -44.32%9.14M |
Operating gains losses | -105.13%-2K | 11.11%-8K | 107.29%7K | -103.76%-66K | --0 | 262.50%39K | -190.00%-9K | -231.03%-96K | 113.99%1.75M | 114.68%1.8M |
Depreciation and amortization | 247.02%3.09M | 2.60%868K | 3.86%889K | -13.31%3.5M | -27.58%906K | -31.72%889K | 46.88%846K | -5.41%856K | 10.76%4.03M | 17.58%1.25M |
Deferred tax | -665.69%-2.13M | -160.61%-257K | -195.08%-174K | 107.53%1.27M | --285K | --376K | --424K | 4,475.00%183K | 35.78%611K | ---- |
Other non cashItems | -335.48%-1.35M | 103.56%9K | -27.24%-327K | -29.15%-1.35M | -243.21%-527K | -42.86%-310K | 67.93%-253K | 36.54%-257K | -309.02%-1.04M | -25.51%368K |
Change in working capital | 1,172.76%16.19M | -189.03%-3.6M | 66.79%-1.92M | 75.79%-1.08M | 349.38%2.18M | -43.71%-1.51M | 455.15%4.04M | -111.07%-5.78M | -284.89%-4.44M | -84.32%484K |
-Change in receivables | 305.06%2.8M | -12.13%239K | -2,345.95%-831K | 68.03%-1.02M | 102.14%35K | -75.19%-1.36M | 423.81%272K | 105.34%37K | -1,067.40%-3.19M | -558.06%-1.63M |
-Change in payables and accrued expense | -947.37%-644K | -92.49%180K | -131.26%-438K | 882.22%4.86M | 537.17%988K | 154.29%76K | 464.00%2.4M | 221.33%1.4M | 250.91%495K | 51.29%-226K |
-Change in other current assets | 1,440.87%15.35M | -977.36%-5.12M | 51.97%-1.45M | -22.57%-2.09M | 612.38%1.5M | -954.48%-1.15M | -68.04%583K | 21.97%-3.02M | -250.80%-1.7M | -74.23%210K |
-Change in other current liabilities | -242.58%-1.32M | 40.08%1.1M | 119.06%800K | -5,802.08%-2.83M | -116.14%-344K | 446.99%923K | 123.80%786K | -402.45%-4.2M | -102.56%-48K | -28.53%2.13M |
Cash from discontinued operating activities | ||||||||||
Operating cash flow | 280.09%25.64M | -86.64%1.74M | -29.08%3.23M | -21.50%33.25M | -26.27%8.95M | -41.28%6.75M | 35.52%13.01M | -50.21%4.55M | 3.89%42.36M | -19.80%12.13M |
Investing cash flow | ||||||||||
Cash flow from continuing investing activities | 1,200.82%276.8M | 55.39%-3.87M | 62.76%-5.3M | 94.49%-25.75M | 120.97%22.3M | 38.38%-25.15M | 95.05%-8.67M | 90.21%-14.24M | -6.30%-467.82M | 50.47%-106.32M |
Net investment purchase and sale | 5,127.21%258.54M | -41.90%10.69M | -95.25%3.4M | 304.89%98.9M | -47.20%3.96M | -69.36%4.95M | 369.70%18.4M | 194.43%71.6M | 83.81%-48.27M | 107.66%7.49M |
Net proceeds payment for loan | 84.72%-4.26M | 55.01%-11.45M | 90.14%-8.69M | 69.37%-123.34M | 116.97%18.09M | 52.32%-27.88M | 84.84%-25.45M | -26.32%-88.09M | -165.01%-402.7M | 16.54%-106.59M |
Net PPE purchase and sale | -244.23%-4.2M | 82.03%-354K | 91.33%-216K | 22.84%-5.91M | 89.98%-228K | 51.28%-1.22M | -23.05%-1.97M | -94.84%-2.49M | -58.71%-7.66M | -80.56%-2.28M |
Net other investing changes | -111.16%-2.08M | -891.67%-2.76M | -95.80%199K | 149.95%4.59M | 109.78%484K | -124.42%-986K | 103.58%348K | 228.92%4.74M | -436.80%-9.19M | -495,000.00%-4.95M |
Cash from discontinued investing activities | ||||||||||
Investing cash flow | 1,200.82%276.8M | 55.39%-3.87M | 62.76%-5.3M | 94.49%-25.75M | 120.97%22.3M | 38.38%-25.15M | 95.05%-8.67M | 90.21%-14.24M | -6.30%-467.82M | 50.47%-106.32M |
Financing cash flow | ||||||||||
Cash flow from continuing financing activities | -149.12%-66.93M | -602.72%-57.88M | -167.01%-75.32M | -22.57%142M | -616.60%-98.41M | 44.03%136.25M | -111.45%-8.24M | 5,265.53%112.4M | -59.34%183.4M | -83.97%19.05M |
Increase decrease in deposit | 7.60%145.9M | -2,042.75%-138.98M | -139.66%-75.1M | 179.37%232.44M | -10.97%-86.05M | -36.29%135.6M | 87.89%-6.49M | 12,808.59%189.37M | -84.19%83.2M | -163.31%-77.54M |
Net issuance payments of debt | -2,859.36%-206.68M | 3,632.89%83.99M | 103.65%2.67M | -164.64%-72.9M | -109.46%-9.43M | 106.51%7.49M | -98.25%2.25M | -13,738.37%-73.21M | 281.72%112.77M | 19,123.09%99.68M |
Net commonstock issuance | ---- | ---- | ---- | -369.75%-5.89M | 77.97%-50K | -936.58%-3.94M | -226.52%-1.07M | -159.75%-826K | 46.93%-1.25M | 36.77%-227K |
Cash dividends paid | -111.73%-6.15M | 1.23%-2.89M | 1.46%-2.89M | -2.95%-11.66M | -0.87%-2.89M | -1.29%-2.91M | -4.72%-2.93M | -5.01%-2.94M | -4.94%-11.33M | -5.03%-2.86M |
Cash from discontinued financing activities | ||||||||||
Financing cash flow | -149.12%-66.93M | -602.72%-57.88M | -167.01%-75.32M | -22.57%142M | -616.60%-98.41M | 44.03%136.25M | -111.45%-8.24M | 5,265.53%112.4M | -59.34%183.4M | -83.97%19.05M |
Net cash flow | ||||||||||
Beginning cash position | -63.45%49.96M | -21.78%109.97M | 394.78%187.37M | -86.47%37.87M | 125.23%254.54M | 186.36%136.69M | -0.65%140.58M | -86.47%37.87M | 22.67%279.93M | -68.66%113.01M |
Current changes in cash | 99.85%235.51M | -1,440.74%-60.01M | -175.35%-77.4M | 161.76%149.5M | 10.61%-67.17M | 80.53%117.85M | 95.85%-3.9M | 174.20%102.72M | -567.84%-242.07M | 6.83%-75.14M |
End cash position | 12.15%285.47M | -63.45%49.96M | -21.78%109.97M | 394.78%187.37M | 394.78%187.37M | 125.23%254.54M | 186.36%136.69M | -0.65%140.58M | -86.47%37.87M | -86.47%37.87M |
Free cash flow | 286.04%21.33M | -87.86%1.34M | 47.33%3.01M | -20.85%27.33M | -10.01%8.72M | -38.49%5.52M | 37.93%11.04M | -73.98%2.04M | -3.79%34.53M | -30.36%9.69M |
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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