(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 | |
---|---|---|---|---|---|---|---|---|---|---|
Operating cash flow (Indirect Method) | ||||||||||
Cash flow from continuing operating activities | -38.36%32.58M | -40.75%13.55M | -77.47%7.08M | -36.29%137.82M | -33.17%30.67M | -23.30%52.86M | -37.20%22.87M | -51.74%31.42M | -0.04%216.32M | -26.89%45.89M |
Net income from continuing operations | -21.87%16.21M | -7.83%22.81M | -60.25%20.37M | -26.13%122.84M | -23.19%26.1M | -38.23%20.75M | -54.84%24.75M | 16.66%51.25M | -29.27%166.3M | -25.16%33.98M |
Operating gains losses | 11.50%-1.7M | 1.18%-1.68M | -15.73%-861K | 76.25%-5.69M | -15.06%-1.32M | -42.19%-1.92M | 90.93%-1.7M | 72.46%-744K | 24.62%-23.95M | 74.38%-1.15M |
Depreciation and amortization | 21.48%6.52M | 20.40%6.33M | 11.50%6.34M | 84.83%22.01M | 90.94%5.69M | 83.90%5.37M | 76.36%5.26M | 88.07%5.69M | -18.01%11.91M | -20.43%2.98M |
Deferred tax | 31.91%-2.09M | 114.60%101K | -74.24%2.19M | 162.07%5.89M | 138.26%1.15M | 58.98%-3.06M | 78.41%-692K | 103.45%8.5M | -177.45%-9.49M | -11,892.00%-3M |
Other non cashItems | -125.58%-1.11M | 83.93%-608K | -35.80%-5.07M | -74.51%8.12M | 1,081.11%11.32M | -66.38%4.32M | 12.45%-3.78M | -116.69%-3.73M | -56.10%31.86M | -90.95%958K |
Change in working capital | -73.76%5.85M | -91.07%-17.44M | -114.25%-19.65M | -199.27%-5.73M | -2,723.84%-9.71M | 180.14%22.29M | -844.82%-9.13M | -7.14%-9.17M | 95.67%-1.91M | -104.61%-344K |
-Change in receivables | 155.53%1.51M | 410.26%484K | 46.32%-569K | 20.69%-5.41M | 63.81%-1.48M | 24.98%-2.71M | -326.09%-156K | -229.11%-1.06M | -156.47%-6.82M | -319.14%-4.1M |
-Change in payables and accrued expense | -100.90%-222K | -179.58%-6.12M | -36.93%-19.64M | -36.24%6.18M | -261.49%-11.8M | 108.74%24.64M | 9.72%7.69M | 12.71%-14.35M | 146.63%9.69M | 348.13%7.31M |
-Change in other current assets | 1,160.77%4.56M | 29.15%-11.8M | -90.91%567K | -35.89%-6.49M | 200.48%3.57M | 256.03%362K | -107.14%-16.66M | -11.60%6.24M | 86.55%-4.78M | -189.82%-3.56M |
Cash from discontinued operating activities | ||||||||||
Operating cash flow | -38.36%32.58M | -40.75%13.55M | -77.47%7.08M | -36.29%137.82M | -33.17%30.67M | -23.30%52.86M | -37.20%22.87M | -51.74%31.42M | -0.04%216.32M | -26.89%45.89M |
Investing cash flow | ||||||||||
Cash flow from continuing investing activities | -114.93%-17.16M | -262.81%-117.3M | -114.94%-5.03M | 111.05%178.94M | 67.36%-41.66M | 123.81%114.91M | 110.70%72.05M | 110.03%33.64M | -625.27%-1.62B | 60.48%-127.65M |
Net investment purchase and sale | -109.68%-4.59M | -91.08%4.53M | -97.24%969K | 177.60%161.24M | -47.12%27.97M | 196.18%47.35M | 194.81%50.77M | 122.26%35.15M | -49.86%-207.78M | 166.12%52.89M |
Net proceeds payment for loan | -111.56%-8.06M | -582.00%-119.27M | -111.59%-270K | 102.18%30.97M | 62.74%-65.79M | 116.20%69.69M | 103.87%24.75M | 101.34%2.33M | -410.45%-1.42B | 26.02%-176.58M |
Capital expenditure | -74.92%-4.51M | 26.85%-2.56M | -49.41%-5.73M | 4.16%-13.98M | -1.12%-4.07M | 12.66%-2.58M | ---3.5M | ---3.83M | -26.96%-14.59M | 8.09%-4.02M |
Net business purchase and sale | ---- | ---- | ---- | --0 | ---- | ---- | ---- | ---- | --23.82M | --1K |
Net other investing changes | ---- | ---- | ---- | 112.54%712K | 260.94%231K | --446K | ---- | ---- | -50.74%335K | 6.67%64K |
Cash from discontinued investing activities | ||||||||||
Investing cash flow | -114.93%-17.16M | -262.81%-117.3M | -114.94%-5.03M | 111.05%178.94M | 67.36%-41.66M | 123.81%114.91M | 110.70%72.05M | 110.03%33.64M | -625.27%-1.62B | 60.48%-127.65M |
Financing cash flow | ||||||||||
Cash flow from continuing financing activities | 174.19%328.21M | 162.35%100.08M | -157.70%-137.56M | -96.86%36.91M | -1,158.35%-160.7M | -73.47%119.7M | -152.52%-160.51M | -40.85%238.42M | 392.57%1.18B | 103.50%15.18M |
Change in federal funds and securities sold for repurchase | 46.13%-4.27M | -97.12%3.51M | -337.70%-303.5M | -70.66%53.07M | -92.69%8.45M | -138.60%-7.93M | 121.77%121.88M | -573.07%-69.34M | 144.99%180.88M | 1,902.43%115.68M |
Increase decrease in deposit | 106.63%397.53M | 196.97%113.17M | 87.75%230.85M | -86.57%44.41M | -175.46%-154.22M | 187.66%192.39M | -199.60%-116.71M | -46.23%122.96M | -44.50%330.72M | 156.47%204.37M |
Net issuance payments of debt | 0.00%-50M | --0 | -125.00%-50M | --0 | --0 | -107.52%-50M | -185.71%-150M | 0.00%200M | 273.58%750M | ---290M |
Net commonstock issuance | -43.21%301K | -178.57%-975K | 706.00%403K | 102.37%596K | -1.35%366K | 30.22%530K | 98.66%-350K | -70.76%50K | 75.61%-25.15M | 100.72%371K |
Cash dividends paid | -0.40%-15.35M | -2.00%-15.63M | -0.41%-15.31M | 0.34%-61.16M | -0.37%-15.3M | -0.31%-15.29M | 0.74%-15.33M | 1.28%-15.25M | -1.69%-61.37M | -3.83%-15.24M |
Cash from discontinued financing activities | ||||||||||
Financing cash flow | 174.19%328.21M | 162.35%100.08M | -157.70%-137.56M | -96.86%36.91M | -1,158.35%-160.7M | -73.47%119.7M | -152.52%-160.51M | -40.85%238.42M | 392.57%1.18B | 103.50%15.18M |
Net cash flow | ||||||||||
Beginning cash position | -5.44%406.71M | -17.21%410.39M | 183.98%545.9M | -54.23%192.23M | 177.27%717.59M | 94.38%430.13M | -10.33%495.72M | -54.23%192.23M | 41.42%420.02M | -76.78%258.81M |
Current changes in cash | 19.54%343.64M | 94.39%-3.68M | -144.65%-135.51M | 255.26%353.67M | -157.89%-171.69M | 665.98%287.46M | 80.22%-65.59M | 128.52%303.48M | -285.17%-227.79M | 90.42%-66.58M |
End cash position | 4.56%750.35M | -5.44%406.71M | -17.21%410.39M | 183.98%545.9M | 183.98%545.9M | 177.27%717.59M | 94.38%430.13M | -10.33%495.72M | -54.23%192.23M | -54.23%192.23M |
Free cash flow | -44.18%28.07M | -43.27%10.99M | -95.10%1.35M | -38.62%123.83M | -36.47%26.6M | -23.77%50.28M | -39.93%19.37M | -55.26%27.59M | -1.55%201.73M | -28.30%41.87M |
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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