(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 | 46.89%299.03M | 601.72%161.23M | -605.45%-63.42M | 71.64%407.7M | 113.25%190.13M | 65.47%203.58M | -54.99%22.98M | 65.04%-8.99M | 15.54%237.53M | -0.78%89.16M |
Net income from continuing operations | 43.10%85.59M | 47.38%80.72M | -361.12%-92.11M | 64.28%207.92M | 59.73%58.06M | 37.20%59.81M | 140.43%54.77M | 47.95%35.28M | 42.28%126.57M | 0.57%36.35M |
Operating gains losses | -23.45%9.13M | 966.98%21.46M | 1,636.83%231.69M | 595.99%96.6M | 1,558.93%69.31M | 31.96%11.93M | -18.55%2.01M | 87.39%13.34M | 295.09%13.88M | -3.35%-4.75M |
Depreciation and amortization | -18.61%24.54M | -14.81%24.44M | -13.50%24.53M | -0.44%119.97M | 9.85%32.77M | 1.95%30.15M | -6.19%28.69M | -7.05%28.36M | -16.44%120.5M | -20.80%29.83M |
Deferred tax | 73.43%-793K | -90.51%-5.02M | 285.46%4.8M | -956.16%-8.91M | -112.91%-709K | 28.67%-2.99M | -731.65%-2.63M | -0.78%-2.59M | 75.66%-844K | 509.32%5.49M |
Other non cash items | -7.34%14.47M | 5.47%16.34M | 26.75%19.13M | 5.77%61.01M | 7.78%14.82M | -2.97%15.62M | 9.52%15.49M | 10.14%15.09M | -0.06%57.69M | -3.43%13.75M |
Change In working capital | 80.89%146.81M | 115.56%13.14M | -148.41%-261.98M | 0.04%-103.28M | 1,219.13%5.45M | 264.33%81.16M | -254.74%-84.43M | -3.18%-105.46M | -8.86%-103.33M | -52.25%413K |
-Change in receivables | 99.94%33.25M | 72.53%-57.54M | -26.09%-121.78M | -98.25%-296.08M | -251.47%-6.7M | 163.42%16.63M | -251.13%-209.43M | -42.23%-96.58M | -247.31%-149.35M | -75.11%4.42M |
-Change in prepaid assets | 9,755.48%42.28M | 194.25%12.21M | 22.71%-21.6M | -6,691.10%-95.42M | -439.89%-54.95M | -96.51%429K | -61.54%-12.95M | -721.62%-27.95M | 92.53%-1.41M | -1,375.31%-10.18M |
-Change in payables and accrued expense | 6.98%85.86M | -40.76%44.53M | -2,856.07%-96.99M | 39,283.37%190.82M | 252.14%31.87M | 145.10%80.26M | 183.83%75.17M | 109.08%3.52M | 99.53%-487K | -192.41%-20.95M |
-Change in other current liabilities | -1,320.58%-16.29M | -175.21%-1.79M | -697.35%-4.52M | 95.96%12.95M | -1.50%12.29M | 88.35%-1.15M | -52.13%2.38M | 42.49%-567K | 115.18%6.61M | 147.50%12.47M |
-Change in other working capital | 111.34%1.7M | -73.96%15.73M | -206.06%-17.09M | 104.42%84.44M | 56.66%22.94M | -212.88%-15.02M | 386.58%60.41M | 1,605.08%16.11M | 235.84%41.31M | 203.74%14.64M |
Cash from discontinued investing activities | ||||||||||
Operating cash flow | 46.89%299.03M | 601.72%161.23M | -605.45%-63.42M | 71.64%407.7M | 113.25%190.13M | 65.47%203.58M | -54.99%22.98M | 65.04%-8.99M | 15.54%237.53M | -0.78%89.16M |
Investing cash flow | ||||||||||
Cash flow from continuing investing activities | -5.30%-255.9M | 31.91%-43.21M | -119.20%-45.51M | 9.94%-375.97M | -229.42%-48.73M | -21,050.60%-243.03M | 83.75%-63.46M | -54.59%-20.76M | -73.29%-417.47M | -41.64%-14.79M |
Capital expenditure reported | 9.08%-11.75M | 5.59%-9.26M | -15.84%-9.44M | -32.04%-40.4M | 11.93%-9.52M | -108.54%-12.92M | -7.62%-9.81M | -82.11%-8.15M | -44.96%-30.59M | -30.20%-10.81M |
Net PPE purchase and sale | -64.11%75K | 10.87%51K | -89.47%2K | -29.18%546K | 37.37%272K | -35.09%209K | -66.91%46K | -83.04%19K | -41.99%771K | -29.29%198K |
Net business purchase and sale | -6.04%-244.23M | 36.69%-33.99M | -185.52%-36.08M | 13.29%-336.12M | -844.45%-39.48M | -3,374.31%-230.32M | 85.92%-53.69M | -39.32%-12.64M | -75.30%-387.65M | -72.66%-4.18M |
Cash from discontinued investing activities | ||||||||||
Investing cash flow | -5.30%-255.9M | 31.91%-43.21M | -119.20%-45.51M | 9.94%-375.97M | -229.42%-48.73M | -21,050.60%-243.03M | 83.75%-63.46M | -54.59%-20.76M | -73.29%-417.47M | -41.64%-14.79M |
Financing cash flow | ||||||||||
Cash flow from continuing financing activities | -119.68%-13.1M | -639.39%-12.44M | 2,175.74%259.51M | -121.79%-21.87M | -284.78%-74.25M | 165.09%66.57M | -100.93%-1.68M | 32.06%-12.5M | 194.24%100.37M | 470.76%40.18M |
Net issuance payments of debt | -100.02%-15K | --0 | --304.43M | --0 | -253.69%-75M | 175.91%75M | --0 | --0 | 400.00%150M | --48.8M |
Net common stock issuance | --0 | -765.96%-6.26M | --0 | 70.28%-4.94M | -22.22%119K | --0 | 112.92%940K | -8.15%-6M | -2.95%-16.62M | 101.50%153K |
Proceeds from stock option exercised by employees | --0 | --0 | ---104.95M | ---- | ---- | --0 | --0 | --0 | ---- | ---- |
Net other financing activities | -55.12%-13.08M | -135.76%-6.18M | 1,023.35%60.04M | 48.71%-16.93M | 107.18%630K | -1,842.77%-8.44M | 77.90%-2.62M | 49.42%-6.5M | 18.21%-33.01M | -1,314.52%-8.77M |
Cash from discontinued financing activities | ||||||||||
Financing cash flow | -119.68%-13.1M | -639.39%-12.44M | 2,175.74%259.51M | -121.79%-21.87M | -284.78%-74.25M | 165.09%66.57M | -100.93%-1.68M | 32.06%-12.5M | 194.24%100.37M | 470.76%40.18M |
Net cash flow | ||||||||||
Beginning cash position | 195.91%528.46M | 91.94%423.12M | 3.96%272.94M | -23.65%262.54M | 39.22%205.41M | 40.76%178.59M | -23.13%220.44M | -23.65%262.54M | -29.42%343.88M | -46.68%147.54M |
Current changes in cash | 10.76%30.04M | 350.40%105.58M | 456.37%150.58M | 112.39%9.86M | -41.37%67.16M | 23.69%27.12M | 73.40%-42.16M | 26.57%-42.25M | 43.90%-79.57M | 67.03%114.55M |
Effect of exchange rate changes | 208.31%326K | -175.40%-236K | -361.04%-402K | 130.85%546K | -15.56%380K | 76.05%-301K | 122.55%313K | -63.76%154K | -18.32%-1.77M | 132.17%450K |
End cash Position | 172.06%558.82M | 195.91%528.46M | 91.94%423.12M | 3.96%272.94M | 3.96%272.94M | 39.22%205.41M | 40.76%178.59M | -23.13%220.44M | -23.65%262.54M | -23.65%262.54M |
Free cash flow | 50.68%287.29M | 1,054.22%151.97M | -325.16%-72.86M | 77.50%367.3M | 130.52%180.61M | 63.19%190.66M | -68.60%13.17M | 43.23%-17.14M | 12.18%206.93M | -3.93%78.35M |
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 |
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