(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 | -25.40%841.01M | 3.10%937.86M | 2.69%1.01B | 0.85%1.07B | 0.85%1.07B | -2.41%1.13B | -28.27%909.67M | -27.09%983.15M | -26.66%1.06B | -26.66%1.06B |
-Cash and cash equivalents | -30.35%174.71M | -15.66%196.39M | -20.27%192.32M | -39.45%142.52M | -39.45%142.52M | -15.82%250.82M | -32.19%232.84M | -14.77%241.21M | -26.60%235.39M | -26.60%235.39M |
-Short-term investments | -23.99%666.31M | 9.55%741.47M | 10.16%817.31M | 12.34%928.28M | 12.34%928.28M | 2.25%876.61M | -26.81%676.83M | -30.36%741.94M | -26.68%826.34M | -26.68%826.34M |
Other current assets | 25.38%12.7M | 297.88%35.61M | 208.47%35.4M | 20.00%12.71M | 20.00%12.71M | -2.13%10.13M | -13.33%8.95M | -16.77%11.48M | -32.79%10.59M | -32.79%10.59M |
Total current assets | -24.95%853.71M | 5.97%973.47M | 5.07%1.05B | 1.04%1.08B | 1.04%1.08B | -2.41%1.14B | -28.15%918.63M | -26.99%994.63M | -26.73%1.07B | -26.73%1.07B |
Non current assets | ||||||||||
Net PPE | -2.89%393.18M | -2.34%399.22M | -0.89%394.66M | 2.45%394.17M | 2.45%394.17M | 12.71%404.87M | 25.12%408.79M | 37.96%398.22M | 64.43%384.73M | 64.43%384.73M |
-Gross PPE | 7.43%539.17M | 6.90%531.29M | 7.67%514.08M | 10.37%501.93M | 10.37%501.93M | 19.44%501.87M | 30.88%496.98M | 42.17%477.45M | 64.04%454.75M | 64.04%454.75M |
-Accumulated depreciation | -50.50%-145.98M | -49.75%-132.07M | -50.71%-119.42M | -53.89%-107.76M | -53.89%-107.76M | -59.09%-97M | -66.43%-88.19M | -67.91%-79.23M | -61.95%-70.03M | -61.95%-70.03M |
Other non current assets | 7.51%25.08M | 21.33%24.1M | 32.47%24.28M | 32.37%24.29M | 32.37%24.29M | 27.80%23.33M | 7.79%19.86M | 1.15%18.33M | 0.65%18.35M | 0.65%18.35M |
Total non current assets | -2.32%418.26M | -1.25%423.31M | 0.57%418.94M | 3.82%418.46M | 3.82%418.46M | 13.44%428.2M | 24.19%428.65M | 35.79%416.55M | 59.82%403.08M | 59.82%403.08M |
Total assets | -18.76%1.27B | 3.67%1.4B | 3.74%1.46B | 1.80%1.5B | 1.80%1.5B | 1.47%1.57B | -17.02%1.35B | -15.45%1.41B | -14.00%1.48B | -14.00%1.48B |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Payables | 0.18%9.64M | 22.12%15.23M | -33.07%11.51M | -39.50%12.96M | -39.50%12.96M | -44.12%9.62M | -46.03%12.47M | 69.86%17.2M | 51.04%21.42M | 51.04%21.42M |
-accounts payable | 0.18%9.64M | 22.12%15.23M | -33.07%11.51M | -39.50%12.96M | -39.50%12.96M | -44.12%9.62M | -46.03%12.47M | 69.86%17.2M | 51.04%21.42M | 51.04%21.42M |
Current accrued expenses | 96.25%19.67M | 710.75%66.53M | 595.82%72.33M | 36.15%10.18M | 36.15%10.18M | -34.15%10.03M | 65.84%8.21M | 49.46%10.4M | 23.02%7.48M | 23.02%7.48M |
Current debt and capital lease obligation | 10.64%8.54M | 12.26%8.28M | 21.49%8.1M | 63.12%7.91M | 63.12%7.91M | 98.07%7.72M | 142.63%7.37M | 423.49%6.66M | 295.03%4.85M | 295.03%4.85M |
-Current capital lease obligation | 10.64%8.54M | 12.26%8.28M | 21.49%8.1M | 63.12%7.91M | 63.12%7.91M | 98.07%7.72M | 142.63%7.37M | 423.49%6.66M | 295.03%4.85M | 295.03%4.85M |
Current liabilities | 31.10%60.69M | 135.49%112.4M | 131.31%100.67M | 21.97%57.1M | 21.97%57.1M | 1.99%46.3M | 19.88%47.73M | 55.17%43.52M | 52.94%46.81M | 52.94%46.81M |
Non current liabilities | ||||||||||
Long term provisions | 20.27%11.06M | 14.30%10.62M | 39.92%10.56M | 61.26%9.47M | 61.26%9.47M | 77.63%9.2M | 109.30%9.29M | 112.38%7.55M | --5.87M | --5.87M |
Long term debt and capital lease obligation | -8.08%87.08M | -7.84%89.16M | -8.31%90.57M | -7.80%92.72M | -7.80%92.72M | -7.42%94.74M | -7.05%96.75M | -0.02%98.78M | 32.08%100.57M | 32.08%100.57M |
-Long term capital lease obligation | -8.08%87.08M | -7.84%89.16M | -8.31%90.57M | -7.80%92.72M | -7.80%92.72M | -7.42%94.74M | -7.05%96.75M | -0.02%98.78M | 32.08%100.57M | 32.08%100.57M |
Non current deferred liabilities | 0.00%2.52M | 0.00%2.52M | -3.82%2.52M | -3.82%2.52M | -3.82%2.52M | 4.14%2.52M | 4.14%2.52M | 18.06%2.62M | 730.16%2.62M | 730.16%2.62M |
Total non current liabilities | -5.44%100.66M | -5.77%102.3M | -4.86%103.64M | -3.99%104.71M | -3.99%104.71M | -3.16%106.45M | -2.15%108.56M | 4.18%108.94M | 42.64%109.05M | 42.64%109.05M |
Total liabilities | 5.63%161.35M | 37.37%214.7M | 34.01%204.32M | 3.81%161.8M | 3.81%161.8M | -1.65%152.75M | 3.67%156.29M | 14.97%152.47M | 45.58%155.86M | 45.58%155.86M |
Shareholders'equity | ||||||||||
Share capital | 4.08%51K | 11.11%50K | 13.64%50K | 11.36%49K | 11.36%49K | 13.95%49K | 4.65%45K | 2.33%44K | 2.33%44K | 2.33%44K |
-common stock | 4.08%51K | 11.11%50K | 13.64%50K | 11.36%49K | 11.36%49K | 13.95%49K | 4.65%45K | 2.33%44K | 2.33%44K | 2.33%44K |
-Preferred stock | --0 | --0 | --0 | --0 | --0 | --0 | --0 | --0 | --0 | --0 |
Retained earnings | -17.22%-3.24B | -17.60%-3.12B | -18.15%-3B | -18.28%-2.88B | -18.28%-2.88B | -18.95%-2.77B | -20.28%-2.66B | -20.16%-2.54B | -20.36%-2.44B | -20.36%-2.44B |
Paid-in capital | 4.03%4.35B | 11.66%4.31B | 11.84%4.26B | 11.95%4.22B | 11.95%4.22B | 12.06%4.18B | 4.23%3.86B | 3.96%3.81B | 3.76%3.77B | 3.76%3.77B |
Gains losses not affecting retained earnings | 114.85%939K | 94.66%-519K | 88.77%-1.39M | 83.90%-2.88M | 83.90%-2.88M | 71.36%-6.32M | 49.26%-9.72M | 21.92%-12.36M | -324.74%-17.87M | -324.74%-17.87M |
Total stockholders'equity | -21.30%1.11B | -0.76%1.18B | 0.07%1.26B | 1.56%1.34B | 1.56%1.34B | 1.82%1.41B | -19.16%1.19B | -18.10%1.26B | -17.99%1.32B | -17.99%1.32B |
Noncontrolling interests | --0 | 4.50%1.81M | 4.07%1.79M | 3.87%1.77M | 3.87%1.77M | 3.43%1.75M | 2.97%1.73M | 1.65%1.72M | 0.65%1.7M | 0.65%1.7M |
Total equity | -21.40%1.11B | -0.75%1.18B | 0.08%1.26B | 1.56%1.34B | 1.56%1.34B | 1.82%1.41B | -19.14%1.19B | -18.07%1.26B | -17.97%1.32B | -17.97%1.32B |
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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