(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 | -60.93%222.3M | -14.20%386.2M | 43.23%574.5M | 73.33%629.2M | 73.33%629.2M | 178.78%569M | 140.82%450.1M | 174.35%401.1M | 172.73%363M | 172.73%363M |
-Cash and cash equivalents | -60.93%222.3M | -14.20%386.2M | 43.23%574.5M | 73.33%629.2M | 73.33%629.2M | 178.78%569M | 140.82%450.1M | 174.35%401.1M | 172.73%363M | 172.73%363M |
Receivables | 3.01%578M | -12.73%510.1M | -16.14%514M | -9.45%465.6M | -9.45%465.6M | -17.45%561.1M | -12.08%584.5M | -8.69%612.9M | -9.82%514.2M | -9.82%514.2M |
-Accounts receivable | 1.76%566.4M | -14.37%498.7M | -15.40%510.8M | -8.36%444.2M | -8.36%444.2M | -16.88%556.6M | -11.53%582.4M | -8.93%603.8M | -10.46%484.7M | -10.46%484.7M |
-Taxes receivable | 157.78%11.6M | 442.86%11.4M | -64.84%3.2M | -49.69%8.2M | -49.69%8.2M | -55.45%4.5M | -67.69%2.1M | 10.98%9.1M | 1.24%16.3M | 1.24%16.3M |
-Other receivables | ---- | ---- | ---- | 0.00%13.2M | 0.00%13.2M | ---- | ---- | ---- | 3.13%13.2M | 3.13%13.2M |
Inventory | 4.64%924.2M | -9.16%861.5M | -10.45%842.8M | -12.15%840.3M | -12.15%840.3M | -15.89%883.2M | -7.48%948.4M | 5.27%941.1M | -2.99%956.5M | -2.99%956.5M |
Other current assets | 39.88%24.2M | -2.99%26M | -20.18%26.5M | -26.82%26.2M | -26.82%26.2M | -51.81%17.3M | -35.58%26.8M | 7.44%33.2M | 18.15%35.8M | 18.15%35.8M |
Total current assets | -13.88%1.75B | -11.24%1.78B | -1.53%1.96B | 4.91%1.96B | 4.91%1.96B | 3.09%2.03B | 4.76%2.01B | 14.12%1.99B | 8.72%1.87B | 8.72%1.87B |
Non current assets | ||||||||||
Net PPE | 31.27%558.3M | 13.69%476.8M | 9.83%460.2M | 5.62%439.9M | 5.62%439.9M | 4.06%425.3M | 6.07%419.4M | 6.89%419M | 7.04%416.5M | 7.04%416.5M |
-Gross PPE | 17.20%1.09B | 9.73%1B | 7.52%977.8M | 5.28%946.4M | 5.28%946.4M | 5.30%930.3M | 6.90%915.5M | 7.75%909.4M | 7.69%898.9M | 7.69%898.9M |
-Accumulated depreciation | -5.35%-532M | -6.39%-527.8M | -5.55%-517.6M | -5.00%-506.5M | -5.00%-506.5M | -6.36%-505M | -7.61%-496.1M | -8.50%-490.4M | -8.26%-482.4M | -8.26%-482.4M |
Investments and advances | 31.71%5.4M | -92.19%4.1M | -93.05%3.9M | --0 | --0 | -91.58%4.1M | 9.15%52.5M | 15.67%56.1M | 23.94%46.6M | 23.94%46.6M |
-Long term equity investment | ---- | ---- | ---- | --0 | --0 | --0 | 11.55%48.3M | 18.35%51.6M | 23.94%46.6M | 23.94%46.6M |
-Financial asset investment | 31.71%5.4M | -2.38%4.1M | -13.33%3.9M | ---- | ---- | -16.33%4.1M | -12.50%4.2M | -8.16%4.5M | ---- | ---- |
-Including:Available-for-sale securities | 31.71%5.4M | -2.38%4.1M | -13.33%3.9M | ---- | ---- | -16.33%4.1M | -12.50%4.2M | -8.16%4.5M | ---- | ---- |
Goodwill and other intangible assets | 4.35%124.8M | -1.83%118.1M | -3.62%119.7M | -4.98%120.2M | -4.98%120.2M | -8.14%119.6M | -6.02%120.3M | -3.27%124.2M | -4.31%126.5M | -4.31%126.5M |
-Goodwill | 6.90%54.2M | 3.98%52.2M | 2.17%51.9M | 0.98%51.3M | 0.98%51.3M | -0.78%50.7M | 1.62%50.2M | 4.31%50.8M | 3.67%50.8M | 3.67%50.8M |
-Other intangible assets | 2.47%70.6M | -5.99%65.9M | -7.63%67.8M | -8.98%68.9M | -8.98%68.9M | -12.90%68.9M | -10.81%70.1M | -7.90%73.4M | -9.01%75.7M | -9.01%75.7M |
Defined pension benefit | -10.87%45.9M | 8.94%47.5M | 13.54%47.8M | 3.81%43.6M | 3.81%43.6M | 27.79%51.5M | 7.65%43.6M | 2.18%42.1M | 42.37%42M | 42.37%42M |
Non current deferred assets | -30.77%900K | -40.00%900K | 18.18%1.3M | -26.09%1.7M | -26.09%1.7M | 8.33%1.3M | 36.36%1.5M | -15.38%1.1M | -25.81%2.3M | -25.81%2.3M |
Other non current assets | ---- | ---- | ---- | -2.86%3.4M | -2.86%3.4M | ---- | ---- | ---- | 2.94%3.5M | 2.94%3.5M |
Total non current assets | 22.18%735.3M | 1.58%647.4M | -1.49%632.9M | -4.49%608.8M | -4.49%608.8M | -4.34%601.8M | 3.95%637.3M | 5.09%642.5M | 7.14%637.4M | 7.14%637.4M |
Total assets | -5.64%2.48B | -8.16%2.43B | -1.52%2.59B | 2.52%2.57B | 2.52%2.57B | 1.29%2.63B | 4.57%2.65B | 11.77%2.63B | 8.31%2.51B | 8.31%2.51B |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Current debt and capital lease obligation | 37.84%20.4M | 14.86%17M | 10.81%16.4M | 6.80%15.7M | 6.80%15.7M | -2.63%14.8M | 0.00%14.8M | 2.78%14.8M | -6.96%14.7M | -6.96%14.7M |
-Current capital lease obligation | 37.84%20.4M | 14.86%17M | 10.81%16.4M | 6.80%15.7M | 6.80%15.7M | -2.63%14.8M | 0.00%14.8M | 2.78%14.8M | -6.96%14.7M | -6.96%14.7M |
Payables | -0.56%499.2M | -20.29%446.6M | -21.28%431.8M | -6.01%453.6M | -6.01%453.6M | -16.14%502M | -12.15%560.3M | -5.14%548.5M | -22.19%482.6M | -22.19%482.6M |
-accounts payable | -0.40%499M | -19.31%446.3M | -20.52%431.5M | -5.82%450M | -5.82%450M | -15.84%501M | -12.05%553.1M | -4.82%542.9M | -13.68%477.8M | -13.68%477.8M |
-Total tax payable | -80.00%200K | -95.83%300K | -94.64%300K | -25.00%3.6M | -25.00%3.6M | -69.70%1M | -19.10%7.2M | -28.21%5.6M | -92.80%4.8M | -92.80%4.8M |
Current accrued expenses | ---- | ---- | ---- | 0.00%4.2M | 0.00%4.2M | ---- | ---- | ---- | 0.00%4.2M | 0.00%4.2M |
Current liabilities | 0.54%519.6M | -19.39%463.6M | -20.43%448.2M | -5.58%473.5M | -5.58%473.5M | -15.80%516.8M | -11.88%575.1M | -4.94%563.3M | -21.67%501.5M | -21.67%501.5M |
Non current liabilities | ||||||||||
Long term debt and capital lease obligation | -24.69%305M | -35.37%262.4M | 0.81%410.1M | -0.34%406.8M | -0.34%406.8M | 0.60%405M | 2.58%406M | 3.14%406.8M | 5.07%408.2M | 5.07%408.2M |
-Long term debt | -49.78%149.1M | -49.80%148.9M | 0.44%297.6M | 0.41%297.2M | 0.41%297.2M | 0.41%296.9M | 0.41%296.6M | 0.41%296.3M | 0.41%296M | 0.41%296M |
-Long term capital lease obligation | 44.22%155.9M | 3.75%113.5M | 1.81%112.5M | -2.32%109.6M | -2.32%109.6M | 1.12%108.1M | 8.96%109.4M | 11.28%110.5M | 19.74%112.2M | 19.74%112.2M |
Employee benefits | 35.71%1.9M | -5.00%1.9M | -5.00%1.9M | 33.33%2M | 33.33%2M | -30.00%1.4M | -4.76%2M | -35.48%2M | -55.88%1.5M | -55.88%1.5M |
Non current deferred liabilities | 13.87%19.7M | 22.70%20M | 1.18%17.1M | -4.89%17.5M | -4.89%17.5M | -11.28%17.3M | -23.47%16.3M | -25.22%16.9M | -6.12%18.4M | -6.12%18.4M |
Other non current liabilities | 4.06%33.3M | -3.83%27.6M | 46.96%36.3M | 68.89%30.4M | 68.89%30.4M | 93.94%32M | 87.58%28.7M | 31.38%24.7M | 24.14%18M | 24.14%18M |
Total non current liabilities | -21.02%359.9M | -31.15%311.9M | 3.33%465.4M | 2.38%456.7M | 2.38%456.7M | 3.43%455.7M | 4.26%453M | 2.62%450.4M | 4.72%446.1M | 4.72%446.1M |
Total liabilities | -9.56%879.5M | -24.57%775.5M | -9.87%913.6M | -1.84%930.2M | -1.84%930.2M | -7.77%972.5M | -5.43%1.03B | -1.73%1.01B | -11.12%947.6M | -11.12%947.6M |
Shareholders'equity | ||||||||||
Share capital | -5.22%530.7M | -4.07%541.7M | -3.23%554M | -1.08%556.3M | -1.08%556.3M | -1.11%559.9M | -1.17%564.7M | 0.19%572.5M | -1.51%562.4M | -1.51%562.4M |
-common stock | -5.22%530.7M | -4.07%541.7M | -3.23%554M | -1.08%556.3M | -1.08%556.3M | -1.11%559.9M | -1.17%564.7M | 0.19%572.5M | -1.51%562.4M | -1.51%562.4M |
Additional paid-in capital | -2.91%10M | -2.91%10M | -4.67%10.2M | -15.57%10.3M | -15.57%10.3M | -14.88%10.3M | -14.88%10.3M | -11.57%10.7M | 0.83%12.2M | 0.83%12.2M |
Retained earnings | -2.51%926.9M | 3.25%953.6M | 8.66%972M | 13.02%954.6M | 13.02%954.6M | 16.61%950.8M | 21.69%923.6M | 35.80%894.5M | 46.84%844.6M | 46.84%844.6M |
Gains losses not affecting retained earnings | -1.44%136.9M | 24.92%150.4M | 1.08%140.9M | -15.27%118.7M | -15.27%118.7M | -7.89%138.9M | 18.16%120.4M | 74.25%139.4M | 55.67%140.1M | 55.67%140.1M |
Total stockholders'equity | -3.34%1.6B | 2.27%1.66B | 3.71%1.68B | 5.17%1.64B | 5.17%1.64B | 7.47%1.66B | 12.09%1.62B | 22.30%1.62B | 24.91%1.56B | 24.91%1.56B |
Total equity | -3.34%1.6B | 2.27%1.66B | 3.71%1.68B | 5.17%1.64B | 5.17%1.64B | 7.47%1.66B | 12.09%1.62B | 22.30%1.62B | 24.91%1.56B | 24.91%1.56B |
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 | -- |
FY: Financial Year. Refers to the 10-K file disclosed by the listed company to the SEC.
Q: Quarter. Refers to the 10-Q file disclosed by the listed company to the SEC. Q1, Q2, Q3, and Q4 are quarterly reports each with a span of 3 months; Q6 and Q9 are cumulative reports, with Q6 including 6 months and Q9 9 months.
No Data