(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 | (Q3)Sep 30, 2022 | |
---|---|---|---|---|---|---|---|---|---|---|
Assets | ||||||||||
Current assets | ||||||||||
Cash, cash equivalents and short term investments | -11.55%199.33M | -26.08%203.13M | -17.70%222.2M | -17.70%222.2M | 41.58%432.35M | -26.48%225.35M | -8.98%274.8M | 1.06%269.98M | 1.06%269.98M | -11.52%305.38M |
-Cash and cash equivalents | -11.55%199.33M | -26.08%203.13M | -17.70%222.2M | -17.70%222.2M | 41.58%432.35M | -26.48%225.35M | -8.98%274.8M | 1.06%269.98M | 1.06%269.98M | -11.52%305.38M |
Receivables | 14.84%370M | 17.77%371.36M | 17.06%364.44M | 17.06%364.44M | 30.80%347.91M | 27.06%322.19M | 22.54%315.34M | 33.70%311.32M | 33.70%311.32M | 23.07%265.99M |
-Accounts receivable | 15.48%280.55M | 18.70%289.03M | 15.62%280.54M | 15.62%280.54M | 31.91%264.97M | 23.36%242.95M | 18.02%243.5M | 25.60%242.65M | 25.60%242.65M | 10.55%200.87M |
-Other receivables | 15.24%104.6M | 17.96%97.82M | 23.15%96.37M | 23.15%96.37M | 28.35%95.11M | 36.35%90.76M | 37.73%82.92M | 64.13%78.25M | 64.13%78.25M | 77.15%74.1M |
-Recievables adjustments allowances | -31.59%-15.16M | -39.66%-15.49M | -30.17%-12.47M | -30.17%-12.47M | -35.38%-12.17M | -15.90%-11.52M | -20.52%-11.09M | -19.37%-9.58M | -19.37%-9.58M | -21.38%-8.99M |
Inventory | 69.45%1.91M | 59.71%2.09M | 23.41%1.49M | 23.41%1.49M | -7.25%1.17M | -75.33%1.13M | -77.24%1.31M | -78.62%1.21M | -78.62%1.21M | 89.73%1.26M |
Prepaid assets | 15.74%40.41M | -8.18%33.82M | 39.19%32.44M | 39.19%32.44M | 28.57%34.52M | 22.55%34.91M | 22.01%36.84M | -11.23%23.31M | -11.23%23.31M | 14.57%26.85M |
Current deferred assets | 9.32%186.43M | 1.91%184.82M | 16.21%184.62M | 16.21%184.62M | 16.46%176.2M | 34.43%170.54M | 64.84%181.36M | 54.88%158.87M | 54.88%158.87M | 64.54%151.29M |
Other current assets | -39.62%29.84M | -13.46%35.82M | 38.71%43.46M | 38.71%43.46M | 152.46%60.17M | 155.80%49.43M | 166.26%41.39M | 92.75%31.33M | 92.75%31.33M | 46.45%23.83M |
Total current assets | 3.03%827.91M | -2.35%831.03M | 6.61%848.65M | 6.61%848.65M | 35.85%1.05B | 8.69%803.54M | 18.07%851.03M | 22.32%796.02M | 22.32%796.02M | 11.68%774.6M |
Non current assets | ||||||||||
Net PPE | 4.76%227.49M | 0.42%222.35M | 2.96%227.38M | 2.96%227.38M | -1.38%216.07M | -0.74%217.15M | 1.66%221.42M | 3.09%220.83M | 3.09%220.83M | 5.94%219.1M |
-Gross PPE | 16.48%599.92M | 15.10%574.94M | 16.92%560.77M | 16.92%560.77M | 15.35%529.82M | 16.21%515.03M | 17.08%499.52M | 17.76%479.63M | 17.76%479.63M | 19.01%459.33M |
-Accumulated depreciation | -25.02%-372.43M | -26.78%-352.59M | -28.83%-333.39M | -28.83%-333.39M | -30.60%-313.75M | -32.73%-297.89M | -33.16%-278.11M | -34.02%-258.8M | -34.02%-258.8M | -34.11%-240.23M |
Goodwill and other intangible assets | -22.39%397.35M | -22.53%425.75M | -20.82%461.14M | -20.82%461.14M | -21.80%498.4M | -24.96%512.01M | -24.46%549.58M | -24.57%582.39M | -24.57%582.39M | 329.58%637.31M |
-Goodwill | 36.35%74.41M | 22.43%66.9M | 23.99%67.37M | 23.99%67.37M | 26.46%66.48M | 1.48%54.58M | -0.79%54.65M | -2.08%54.34M | -2.08%54.34M | -6.14%52.57M |
-Other intangible assets | -29.40%322.94M | -27.49%358.85M | -25.43%393.77M | -25.43%393.77M | -26.13%431.92M | -27.22%457.43M | -26.40%494.93M | -26.31%528.05M | -26.31%528.05M | 533.21%584.74M |
Investments and advances | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | -84.06%31.82M |
Non current deferred assets | -9.12%366.91M | -2.38%381.18M | -9.77%395.72M | -9.77%395.72M | -39.05%394.02M | -46.79%403.71M | -46.51%390.46M | -39.38%438.58M | -39.38%438.58M | -8.86%646.47M |
Other non current assets | -49.26%12.15M | -62.30%12.79M | -66.46%12.02M | -66.46%12.02M | 237.85%21.68M | 236.27%23.95M | 329.24%33.94M | 342.29%35.85M | 342.29%35.85M | -16.96%6.42M |
Total non current assets | -13.22%1B | -12.83%1.04B | -14.20%1.1B | -14.20%1.1B | -26.67%1.13B | -35.01%1.16B | -35.28%1.2B | -33.74%1.28B | -33.74%1.28B | 21.17%1.54B |
Total assets | -6.56%1.83B | -8.47%1.87B | -6.21%1.94B | -6.21%1.94B | -5.75%2.18B | -22.19%1.96B | -20.30%2.05B | -19.60%2.07B | -19.60%2.07B | 17.82%2.32B |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Payables | 13.10%85.86M | -23.20%72.14M | -3.45%97.09M | -3.45%97.09M | -34.80%82.21M | -42.96%75.92M | -14.93%93.93M | 0.07%100.56M | 0.07%100.56M | 48.70%126.08M |
-accounts payable | 6.01%38.95M | -57.36%24.03M | -15.03%53.3M | -15.03%53.3M | -51.08%43.31M | -61.99%36.74M | -26.83%56.35M | -10.43%62.72M | -10.43%62.72M | 89.03%88.53M |
-Total tax payable | 19.74%46.92M | 28.03%48.11M | 15.75%43.8M | 15.75%43.8M | 3.57%38.9M | 7.47%39.18M | 12.53%37.58M | 24.20%37.84M | 24.20%37.84M | -1.06%37.56M |
Current accrued expenses | -20.93%166.09M | -6.19%198.38M | -25.51%202.12M | -25.51%202.12M | -13.63%208.78M | -2.98%210.05M | 10.71%211.47M | 49.31%271.35M | 49.31%271.35M | 53.43%241.73M |
Current debt and capital lease obligation | 437.11%198.69M | 1,011.91%198.5M | 109.60%36.71M | 109.60%36.71M | 112.47%35.45M | 106.95%36.99M | -5.91%17.85M | -6.28%17.51M | -6.28%17.51M | -2.93%16.69M |
-Current debt | 805.17%181.03M | --180.92M | --20M | --20M | --20M | --20M | ---- | ---- | ---- | ---- |
-Current capital lease obligation | 3.91%17.66M | -1.55%17.58M | -4.60%16.71M | -4.60%16.71M | -7.40%15.45M | -4.94%16.99M | -5.91%17.85M | -6.28%17.51M | -6.28%17.51M | -2.93%16.69M |
Current deferred liabilities | 15.36%262.11M | 12.17%246.69M | 11.39%233.62M | 11.39%233.62M | 10.42%231.25M | 9.74%227.21M | 9.21%219.93M | 18.86%209.73M | 18.86%209.73M | 23.63%209.42M |
Current liabilities | 28.55%761.44M | 29.24%764.05M | -3.07%632.55M | -3.07%632.55M | -5.30%605.31M | -4.76%592.35M | 2.70%591.19M | 24.00%652.56M | 24.00%652.56M | 34.40%639.2M |
Non current liabilities | ||||||||||
Long term debt and capital lease obligation | -11.97%1.39B | -16.40%1.39B | -6.33%1.55B | -6.33%1.55B | 8.45%1.8B | -5.19%1.58B | -0.32%1.66B | 15.96%1.66B | 15.96%1.66B | 17.16%1.66B |
-Long term debt | -12.99%1.36B | -17.02%1.36B | -6.89%1.53B | -6.89%1.53B | 8.79%1.78B | -4.73%1.56B | 0.27%1.64B | 17.16%1.64B | 17.16%1.64B | 18.44%1.64B |
-Long term capital lease obligation | 83.83%30.51M | 39.29%25.62M | 39.62%28.18M | 39.62%28.18M | -16.87%18.58M | -34.75%16.6M | -34.81%18.39M | -36.56%20.18M | -36.56%20.18M | -34.61%22.35M |
Preferred securities outside stock equity | --199.45M | --199.45M | 0.00%199.45M | 0.00%199.45M | ---- | ---- | ---- | 0.00%199.45M | 0.00%199.45M | ---- |
Other non current liabilities | -80.90%12.42M | -34.26%45.9M | 34.85%61.83M | 34.85%61.83M | 0.10%62.36M | -12.25%65.01M | -13.36%69.82M | -45.45%45.85M | -45.45%45.85M | 122.11%62.3M |
Total non current liabilities | -2.55%1.6B | -5.57%1.63B | -4.67%1.81B | -4.67%1.81B | 8.14%1.86B | -5.49%1.64B | -11.09%1.73B | 11.09%1.9B | 11.09%1.9B | 19.20%1.72B |
Total liabilities | 5.70%2.36B | 3.30%2.4B | -4.26%2.45B | -4.26%2.45B | 4.50%2.47B | -5.30%2.23B | -7.94%2.32B | 14.12%2.56B | 14.12%2.56B | 22.96%2.36B |
Shareholders'equity | ||||||||||
Share capital | -100.00%9K | -100.00%9K | -10.00%9K | -10.00%9K | -0.00%199.46M | 0.00%199.46M | 2,216,111.11%199.46M | 11.11%10K | 11.11%10K | 2,216,111.11%199.46M |
-common stock | 0.00%9K | -10.00%9K | -10.00%9K | -10.00%9K | -10.00%9K | 0.00%9K | 11.11%10K | 11.11%10K | 11.11%10K | 11.11%10K |
-Preferred stock | ---- | ---- | ---- | ---- | 0.00%199.45M | 0.00%199.45M | --199.45M | ---- | ---- | --199.45M |
Retained earnings | -8.24%-1.74B | -8.77%-1.73B | -10.77%-1.7B | -10.77%-1.7B | -32.17%-1.65B | -66.78%-1.61B | -97.13%-1.59B | -104.91%-1.53B | -104.91%-1.53B | -98.32%-1.25B |
Paid-in capital | 6.65%1.22B | 7.75%1.21B | 13.67%1.2B | 13.67%1.2B | 14.45%1.17B | 21.98%1.14B | 31.25%1.12B | -2.48%1.06B | -2.48%1.06B | 51.90%1.02B |
Gains losses not affecting retained earnings | 2.77%-5.05M | 27.18%-5.11M | 6.35%-8.22M | 6.35%-8.22M | 81.94%-3.24M | 45.86%-5.2M | -395.13%-7.02M | -1,463.51%-8.78M | -1,463.51%-8.78M | -985.26%-17.96M |
Total stockholders'equity | -93.93%-528.26M | -91.69%-522.37M | -4.10%-502.57M | -4.10%-502.57M | -527.40%-285.01M | -268.39%-272.39M | -658.61%-272.51M | -242.43%-482.79M | -242.43%-482.79M | -200.37%-45.43M |
Total equity | -93.93%-528.26M | -91.69%-522.37M | -4.10%-502.57M | -4.10%-502.57M | -527.40%-285.01M | -268.39%-272.39M | -658.61%-272.51M | -242.43%-482.79M | -242.43%-482.79M | -200.37%-45.43M |
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 | -- | -- | -- | -- | -- | -- | -- |
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