(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 | 23.51%545.84M | 48.52%638.79M | 145.78%688.5M | 167.36%908.35M | 167.36%908.35M | 15.60%441.93M | 7.77%430.11M | -10.33%280.12M | -28.28%339.75M | -28.28%339.75M |
-Cash and cash equivalents | 22.61%355.71M | 66.39%481.17M | 335.01%688.5M | 159.27%597.17M | 159.27%597.17M | 13.78%290.11M | 6.91%289.18M | 39.35%158.27M | -26.25%230.33M | -26.25%230.33M |
-Short-term investments | 25.23%190.13M | 11.84%157.62M | --0 | 184.39%311.18M | 184.39%311.18M | 19.25%151.83M | 9.59%140.93M | -38.72%121.85M | -32.20%109.42M | -32.20%109.42M |
Receivables | -12.73%30.72M | -13.28%27.96M | -18.34%27.4M | -14.16%40.07M | -14.16%40.07M | 8.28%35.2M | 7.95%32.24M | 23.92%33.56M | 84.78%46.68M | 84.78%46.68M |
-Accounts receivable | 21.01%15.35M | 3.79%13.68M | -28.49%14.19M | -8.27%24.71M | -8.27%24.71M | -27.05%12.68M | -18.08%13.18M | 23.83%19.84M | 74.91%26.93M | 74.91%26.93M |
-Other receivables | -31.74%15.37M | -25.09%14.28M | -3.65%13.22M | -22.21%15.36M | -22.21%15.36M | 48.91%22.51M | 38.35%19.06M | 24.05%13.72M | 100.19%19.74M | 100.19%19.74M |
Restricted cash | --72.67M | ---- | ---- | ---- | ---- | ---- | ---- | --29.5M | ---- | ---- |
Other current assets | -14.87%30.64M | 52.27%30.65M | 51.08%33.59M | -10.88%29.11M | -10.88%29.11M | --35.99M | --20.13M | --22.23M | 357.76%32.66M | 357.76%32.66M |
Total current assets | 39.63%716.87M | 54.08%743.82M | 114.70%785.1M | 127.47%1.01B | 127.47%1.01B | 7.65%513.39M | -2.76%482.75M | -16.84%365.68M | -21.47%443.38M | -21.47%443.38M |
Non current assets | ||||||||||
Net PPE | 54.98%1.2B | 47.30%1.05B | 14.29%833.09M | 1.45%714.29M | 1.45%714.29M | 16.68%772.26M | 68.91%713.33M | 110.21%728.92M | 143.06%704.06M | 143.06%704.06M |
-Gross PPE | 12.06%1.2B | 54.25%1.47B | 34.60%1.22B | 29.95%1.07B | 29.95%1.07B | 43.96%1.07B | 98.59%955.07M | 132.38%908.88M | 158.09%826.24M | 158.09%826.24M |
-Accumulated depreciation | ---- | -74.77%-422.49M | -116.88%-390.3M | -194.19%-359.44M | -194.19%-359.44M | -269.61%-295.81M | -312.52%-241.74M | -305.63%-179.96M | -301.02%-122.18M | -301.02%-122.18M |
Goodwill and other intangible assets | 345.07%108.09M | -11.69%23.1M | -18.86%24.53M | -17.77%26.02M | -17.77%26.02M | 5.11%24.29M | 11.49%26.16M | -91.67%30.24M | -90.95%31.64M | -90.95%31.64M |
-Goodwill | --96.76M | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
-Other intangible assets | -53.35%11.33M | -11.69%23.1M | -18.86%24.53M | -17.77%26.02M | -17.77%26.02M | 5.11%24.29M | 11.49%26.16M | 120.33%30.24M | 123.42%31.64M | 123.42%31.64M |
Investments and advances | --660.35M | --585.05M | --605.6M | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
Financial assets | -16.63%91.21M | 0.60%106.1M | -3.17%89.43M | -24.52%74.08M | -24.52%74.08M | -3.13%109.41M | -19.30%105.47M | 32.39%92.36M | 90.46%98.14M | 90.46%98.14M |
Non current prepaid assets | 348.25%136.38M | 563.36%201.75M | 712.04%261.52M | 406.70%215.01M | 406.70%215.01M | -82.96%30.42M | -91.62%30.41M | -90.25%32.21M | -84.06%42.43M | -84.06%42.43M |
Other non current assets | 123.68%12.57M | 1,497.55%13.04M | 1,197.94%11.98M | 4,132.58%13.12M | 4,132.58%13.12M | 1,712.90%5.62M | 163.23%816K | 197.74%923K | 0.00%310K | 0.00%310K |
Total non current assets | 134.12%2.21B | 125.95%1.98B | 106.43%1.83B | 18.93%1.04B | 18.93%1.04B | -3.56%942M | -6.77%876.18M | -20.31%884.64M | -8.44%876.58M | -8.44%876.58M |
Total assets | 100.79%2.92B | 100.42%2.72B | 108.85%2.61B | 55.39%2.05B | 55.39%2.05B | 0.12%1.46B | -5.38%1.36B | -19.32%1.25B | -13.27%1.32B | -13.27%1.32B |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Payables | 40.62%12.51M | -59.63%5.09M | -31.40%13.5M | 25.55%23.16M | 25.55%23.16M | -29.74%8.9M | -32.75%12.62M | 74.68%19.69M | -7.95%18.45M | -7.95%18.45M |
-accounts payable | 40.62%12.51M | -59.63%5.09M | -31.40%13.5M | 25.55%23.16M | 25.55%23.16M | -29.74%8.9M | -32.75%12.62M | 74.68%19.69M | -7.95%18.45M | -7.95%18.45M |
Current accrued expenses | 177.14%45.35M | 118.73%45.53M | -52.02%37.44M | -16.07%47.74M | -16.07%47.74M | -51.48%16.36M | 53.92%20.82M | 465.44%78.04M | 248.33%56.88M | 248.33%56.88M |
Current debt and capital lease obligation | 107.20%4.95M | 28.98%3.02M | 117.61%2.88M | 20.51%2.42M | 20.51%2.42M | 40.55%2.39M | 54.35%2.34M | -12.21%1.32M | 69.97%2.01M | 69.97%2.01M |
-Current debt | --657K | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
-Current capital lease obligation | 79.69%4.29M | 28.98%3.02M | 117.61%2.88M | 20.51%2.42M | 20.51%2.42M | 40.55%2.39M | 54.35%2.34M | -12.21%1.32M | 69.97%2.01M | 69.97%2.01M |
Current deferred liabilities | -67.04%11.32M | 9.56%34.83M | 296.47%32.2M | 187.24%32.54M | 187.24%32.54M | 149.26%34.36M | 251.70%31.79M | 5.33%8.12M | 39.73%11.33M | 39.73%11.33M |
Other current liabilities | 19,122.14%52.09M | ---- | ---- | -98.88%271K | -98.88%271K | -99.32%271K | -99.50%271K | -99.66%271K | -58.45%24.3M | -58.45%24.3M |
Current liabilities | 77.50%126.23M | 30.89%97.3M | -17.33%92.65M | -0.43%121.02M | -0.43%121.02M | -33.57%71.12M | -26.09%74.33M | -3.54%112.07M | 10.62%121.54M | 10.62%121.54M |
Non current liabilities | ||||||||||
Long term debt and capital lease obligation | 33.99%26.15M | 2.39%19.98M | -1.10%20.77M | -6.51%18.92M | -6.51%18.92M | -4.85%19.52M | -2.29%19.51M | 3.20%21M | 65.15%20.24M | 65.15%20.24M |
-Long term debt | --5.6M | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
-Long term capital lease obligation | 5.30%20.55M | 2.39%19.98M | -1.10%20.77M | -6.51%18.92M | -6.51%18.92M | -4.85%19.52M | -2.29%19.51M | 3.20%21M | 65.15%20.24M | 65.15%20.24M |
Non current deferred liabilities | -13.32%14.16M | -12.70%14.71M | -12.11%15.26M | -11.57%15.8M | -11.57%15.8M | -11.07%16.33M | -10.60%16.85M | -10.16%17.37M | -9.73%17.87M | -9.73%17.87M |
Derivative product liabilities | -7.68%589K | -7.68%589K | -7.68%589K | 0.00%638K | 0.00%638K | --638K | --638K | --638K | -97.49%638K | -97.49%638K |
Other non current liabilities | -13.26%6.14M | -2.81%6.5M | -7.46%6.57M | -18.83%6.68M | -18.83%6.68M | -14.86%7.08M | -19.17%6.69M | 14.21%7.1M | 31.87%8.23M | 31.87%8.23M |
Total non current liabilities | 7.97%47.04M | -4.37%41.78M | -6.32%43.19M | -10.51%42.04M | -10.51%42.04M | -7.68%43.57M | -7.23%43.69M | 0.46%46.1M | -26.30%46.98M | -26.30%46.98M |
Total liabilities | 51.08%173.27M | 17.84%139.07M | -14.12%135.84M | -3.24%163.06M | -3.24%163.06M | -25.65%114.68M | -20.07%118.02M | -2.41%158.17M | -2.94%168.52M | -2.94%168.52M |
Shareholders'equity | ||||||||||
Share capital | 60.65%3.58B | 56.54%3.26B | 60.88%3.06B | 40.88%2.69B | 40.88%2.69B | 17.70%2.23B | 12.04%2.08B | 19.77%1.9B | 19.60%1.91B | 19.60%1.91B |
-common stock | 60.65%3.58B | 56.54%3.26B | 60.88%3.06B | 40.88%2.69B | 40.88%2.69B | 17.70%2.23B | 12.04%2.08B | 19.77%1.9B | 19.60%1.91B | 19.60%1.91B |
-Preferred stock | --0 | --0 | --0 | --0 | --0 | --0 | --0 | --0 | --0 | --0 |
Retained earnings | 6.57%-826.85M | 19.91%-672.49M | 27.58%-588.04M | -5.75%-799.82M | -5.75%-799.82M | -49.60%-885.04M | -47.70%-839.72M | -301.58%-812.03M | -206.47%-756.34M | -206.47%-756.34M |
Gains losses not affecting retained earnings | --189K | ---19K | --9K | --150K | --150K | ---- | ---- | ---- | --0 | --0 |
Total stockholders'equity | 105.04%2.75B | 108.28%2.58B | 126.66%2.48B | 63.97%1.89B | 63.97%1.89B | 3.18%1.34B | -3.70%1.24B | -21.30%1.09B | -14.60%1.15B | -14.60%1.15B |
Total equity | 105.04%2.75B | 108.28%2.58B | 126.66%2.48B | 63.97%1.89B | 63.97%1.89B | 3.18%1.34B | -3.70%1.24B | -21.30%1.09B | -14.60%1.15B | -14.60%1.15B |
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 with Explanatory Notes | -- | -- | -- | -- | Unqualified Opinion with Explanatory Notes | -- |
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