(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 | 1.56%115.54M | 47.57%159.15M | 315.70%400.68M | 321.25%426.4M | 321.25%426.4M | -3.25%113.77M | 0.48%107.85M | -55.15%96.39M | -15.99%101.22M | -15.99%101.22M |
-Cash and cash equivalents | 1.56%115.54M | 47.57%159.15M | 315.70%400.68M | 321.25%426.4M | 321.25%426.4M | -3.25%113.77M | 0.48%107.85M | -55.15%96.39M | -15.99%101.22M | -15.99%101.22M |
Receivables | 19.07%34.11M | -21.34%37.79M | -12.59%36.69M | -25.86%31.21M | -25.86%31.21M | -37.39%28.65M | 13.98%48.04M | 18.77%41.98M | 46.49%42.09M | 46.49%42.09M |
-Accounts receivable | 19.07%34.11M | -21.34%37.79M | -12.59%36.69M | -25.86%31.21M | -25.86%31.21M | -37.39%28.65M | 13.98%48.04M | 18.77%41.98M | 46.49%42.09M | 46.49%42.09M |
Inventory | 24.31%10.47M | --9.9M | --9.38M | 15.94%9.19M | 15.94%9.19M | --8.43M | ---- | ---- | --7.92M | --7.92M |
Prepaid assets | 13.18%13.3M | --9.2M | --14.32M | 25.39%8.12M | 25.39%8.12M | --11.75M | ---- | ---- | --6.48M | --6.48M |
Restricted cash | 8.13%77.02M | 34.46%74.85M | 43.17%70.32M | 20.21%67.3M | 20.21%67.3M | 41.74%71.23M | 22.05%55.67M | 24.39%49.12M | 32.55%55.98M | 32.55%55.98M |
Other current assets | ---- | ---- | ---- | ---- | ---- | ---- | 8.00%15.27M | 13.04%20.5M | ---- | ---- |
Total current assets | -48.00%250.44M | 28.25%290.9M | 155.49%531.39M | 153.73%542.21M | 153.73%542.21M | 111.26%481.6M | 8.41%226.83M | -32.44%207.98M | -24.25%213.7M | -24.25%213.7M |
Non current assets | ||||||||||
Net PPE | -31.11%11.85M | -28.65%13.21M | -26.61%14.56M | -15.15%15.88M | -15.15%15.88M | -25.17%17.2M | -23.73%18.51M | -22.33%19.83M | -35.64%18.71M | -35.64%18.71M |
-Gross PPE | -31.11%11.85M | -28.65%13.21M | -26.61%14.56M | -15.15%15.88M | -15.15%15.88M | -25.17%17.2M | -23.73%18.51M | -22.33%19.83M | -35.64%18.71M | -35.64%18.71M |
Goodwill and other intangible assets | 0.00%930K | 0.00%930K | 0.00%930K | -0.32%930K | -0.32%930K | 0.22%930K | --930K | --930K | -97.81%933K | -97.81%933K |
-Other intangible assets | 0.00%930K | 0.00%930K | 0.00%930K | -0.32%930K | -0.32%930K | 0.22%930K | --930K | --930K | -97.81%933K | -97.81%933K |
Financial assets | --0 | 4.66%2.25M | --2.06M | 55.60%417K | 55.60%417K | --3.62M | 137.24%2.15M | ---- | --268K | --268K |
Non current deferred assets | -34.91%3.01M | -47.67%3.46M | -44.94%3.89M | -43.86%4.18M | -43.86%4.18M | -38.20%4.63M | 81.56%6.62M | 60.73%7.07M | 47.85%7.44M | 47.85%7.44M |
Other non current assets | -2.24%436K | -2.28%429K | -6.97%427K | -48.68%429K | -48.68%429K | 418.60%446K | 422.62%439K | -51.27%459K | 839.33%836K | 839.33%836K |
Total non current assets | 9.93%2.87B | -0.02%2.86B | -8.88%2.61B | -9.13%2.61B | -9.13%2.61B | -9.55%2.61B | -0.63%2.86B | 8.32%2.87B | 3.99%2.87B | 3.99%2.87B |
Total assets | 0.90%3.12B | 2.06%3.15B | 2.24%3.14B | 2.16%3.15B | 2.16%3.15B | -0.69%3.09B | -0.01%3.09B | 4.07%3.07B | 1.37%3.08B | 1.37%3.08B |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Payables | 28.43%101.7M | 29.05%92.63M | -15.96%67.52M | -7.60%89.46M | -7.60%89.46M | -12.32%79.19M | -10.59%71.77M | 15.92%80.35M | 47.82%96.81M | 47.82%96.81M |
-accounts payable | 4.58%63.64M | 26.97%57.1M | -9.39%48.08M | -34.35%48.41M | -34.35%48.41M | 0.57%60.85M | -29.12%44.97M | -5.08%53.06M | 54.58%73.74M | 54.58%73.74M |
-Total tax payable | --15.25M | 11.66%11.82M | -99.32%76K | 30.17%9.76M | 30.17%9.76M | ---- | -1.77%10.58M | 40.58%11.2M | -40.43%7.5M | -40.43%7.5M |
-Dividends payable | 27.32%22.62M | 54.37%22.99M | 28.19%18.24M | 114.11%29.97M | 114.11%29.97M | 27.25%17.77M | 241.54%14.89M | 277.18%14.23M | 298.38%14M | 298.38%14M |
-Other payable | -67.49%184K | -45.75%721K | -39.42%1.13M | -16.60%1.32M | -16.60%1.32M | -56.36%566K | -21.27%1.33M | 11.20%1.86M | -6.33%1.58M | -6.33%1.58M |
Current accrued expenses | -28.99%2.98M | -78.66%5.28M | -84.53%3.35M | -8.23%6.35M | -8.23%6.35M | -83.99%4.2M | 0.27%24.76M | 19.50%21.68M | -74.01%6.92M | -74.01%6.92M |
Current debt and capital lease obligation | 0.00%575M | 27,745.04%575M | 158.96%575M | -66.34%74.05M | -66.34%74.05M | 27,438.31%575M | 25.46%2.07M | 102.33%222.04M | 963.11%220M | 963.11%220M |
-Current debt | 0.00%575M | 27,745.04%575M | 158.96%575M | -66.34%74.05M | -66.34%74.05M | 27,438.31%575M | 25.46%2.07M | 102.33%222.04M | 963.11%220M | 963.11%220M |
Current deferred liabilities | -42.16%1.75M | -95.51%2.07M | -95.56%2.38M | -31.90%2.71M | -31.90%2.71M | -93.22%3.03M | 11.70%46.15M | 8.60%53.68M | -88.23%3.98M | -88.23%3.98M |
Other current liabilities | ---- | ---- | ---- | ---- | ---- | 236.18%15.4M | 6.70%4.22M | 70.89%5.58M | ---- | ---- |
Current liabilities | 0.68%681.44M | 353.08%674.98M | 69.11%648.26M | -47.34%172.57M | -47.34%172.57M | 303.12%676.81M | -1.92%148.98M | 53.40%383.33M | 86.38%327.71M | 86.38%327.71M |
Non current liabilities | ||||||||||
Long term debt and capital lease obligation | -2.11%252.15M | -69.34%253.61M | -57.90%255M | 23.79%757.24M | 23.79%757.24M | -68.94%257.59M | 0.59%827.03M | 24.68%605.73M | -0.35%611.69M | -0.35%611.69M |
-Long term debt | -0.25%239.11M | -70.56%239.26M | -59.44%239.41M | 24.94%740.51M | 24.94%740.51M | -70.44%239.7M | 1.29%812.77M | 27.06%590.31M | 0.67%592.68M | 0.67%592.68M |
-Long term capital lease obligation | -27.09%13.04M | 0.55%14.35M | 1.06%15.59M | -11.98%16.74M | -11.98%16.74M | -2.53%17.88M | -27.93%14.27M | -27.34%15.43M | -24.32%19.01M | -24.32%19.01M |
Non current deferred liabilities | 5.39%50.56M | 617.53%50.23M | 698.78%61.65M | -9.53%45.43M | -9.53%45.43M | 578.02%47.98M | 9.94%7M | 19.71%7.72M | 661.12%50.22M | 661.12%50.22M |
Derivative product liabilities | --1.08M | --0 | --0 | --401K | --401K | ---- | ---- | --1.61M | --0 | --0 |
Other non current liabilities | 12.52%6.52M | 188.26%5.99M | 144.67%5.83M | -14.50%7.04M | -14.50%7.04M | 131.77%5.79M | -24.43%2.08M | -11.65%2.38M | 135.26%8.23M | 135.26%8.23M |
Total non current liabilities | -4.32%310.31M | -62.94%309.83M | -46.14%332.55M | 20.89%810.12M | 20.89%810.12M | -61.34%324.33M | 0.58%836.11M | 24.74%617.44M | 7.15%670.15M | 7.15%670.15M |
Total liabilities | -0.94%991.75M | -0.03%984.81M | -2.00%980.8M | -1.52%982.68M | -1.52%982.68M | -0.55%1B | 0.19%985.09M | 34.36%1B | 24.53%997.86M | 24.53%997.86M |
Shareholders'equity | ||||||||||
Share capital | -0.02%283.26M | -0.01%283.28M | -0.01%283.29M | -0.02%283.29M | -0.02%283.29M | -0.02%283.31M | -0.02%283.32M | -0.03%283.32M | -0.04%283.34M | -0.04%283.34M |
-common stock | -2.29%2.01M | -1.83%2.03M | -1.78%2.04M | -2.77%2.04M | -2.77%2.04M | -2.84%2.06M | -2.49%2.07M | -3.85%2.07M | -4.56%2.09M | -4.56%2.09M |
-Preferred stock | 0.00%281.25M | 0.00%281.25M | 0.00%281.25M | 0.00%281.25M | 0.00%281.25M | 0.00%281.25M | 0.00%281.25M | 0.00%281.25M | 0.00%281.25M | 0.00%281.25M |
Retained earnings | 12.26%-552.99M | -148.58%-534.12M | -150.93%-538.08M | 19.72%-533.06M | 19.72%-533.06M | -161.92%-630.27M | 10.24%1.1B | 9.81%1.06B | -170.04%-663.98M | -170.04%-663.98M |
Paid-in capital | -1.65%2.39B | -1.24%2.42B | -1.23%2.42B | -1.99%2.42B | -1.99%2.42B | -2.14%2.43B | -1.93%2.45B | -5.49%2.45B | -6.30%2.47B | -6.30%2.47B |
Other equity interest | ---- | ---- | ---- | ---- | ---- | ---- | -3.36%-1.73B | -2.74%-1.71B | ---- | ---- |
Total stockholders'equity | 1.78%2.12B | 3.04%2.16B | 4.29%2.16B | 3.92%2.17B | 3.92%2.17B | -0.76%2.09B | -0.11%2.1B | -4.32%2.07B | -5.18%2.08B | -5.18%2.08B |
Noncontrolling interests | ---- | ---- | ---- | --0 | --0 | ---- | ---- | ---- | --0 | --0 |
Total equity | 1.78%2.12B | 3.04%2.16B | 4.29%2.16B | 3.92%2.17B | 3.92%2.17B | -0.76%2.09B | -0.11%2.1B | -6.14%2.07B | -6.91%2.08B | -6.91%2.08B |
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 | -- |
No Data