(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 | 101.41%403.21M | 128.93%347.19M | 30.26%297.74M | -44.75%254.87M | -44.75%254.87M | -48.90%200.19M | -57.97%151.66M | -26.79%228.57M | 35.81%461.33M | 35.81%461.33M |
-Cash and cash equivalents | -66.65%31.67M | 110.84%52.09M | 8.49%63.4M | -19.40%75.05M | -19.40%75.05M | -14.81%94.99M | -85.75%24.71M | -49.49%58.44M | -54.23%93.12M | -54.23%93.12M |
-Short-term investments | 253.16%371.54M | 132.45%295.1M | 37.74%234.34M | -51.16%179.82M | -51.16%179.82M | -62.47%105.2M | -32.24%126.95M | -13.42%170.13M | 170.26%368.21M | 170.26%368.21M |
Receivables | 2.57%145.41M | 11.67%152.49M | 2.90%147.73M | -12.90%144.16M | -12.90%144.16M | -13.60%141.76M | -13.61%136.56M | -1.09%143.57M | 11.12%165.5M | 11.12%165.5M |
-Accounts receivable | 2.57%145.41M | 11.67%152.49M | 2.90%147.73M | -12.90%144.16M | -12.90%144.16M | -13.60%141.76M | -13.61%136.56M | -1.09%143.57M | 11.12%165.5M | 11.12%165.5M |
Inventory | -23.36%63.98M | -24.74%68.16M | -17.63%75.08M | -15.44%77.41M | -15.44%77.41M | 0.38%83.48M | 6.72%90.56M | 2.65%91.15M | 6.49%91.54M | 6.49%91.54M |
Restricted cash | ---- | ---- | ---- | ---- | ---- | ---- | ---- | --403.76M | ---- | ---- |
Other current assets | 14.53%27.4M | -48.25%23.17M | 45.85%23.77M | 5.68%16.68M | 5.68%16.68M | -3.70%23.93M | 109.09%44.77M | -27.15%16.3M | -41.60%15.78M | -41.60%15.78M |
Total current assets | 42.43%640M | 39.54%591M | -38.38%544.32M | -32.83%493.11M | -32.83%493.11M | -32.31%449.36M | -32.25%423.54M | 55.38%883.34M | 22.04%734.15M | 22.04%734.15M |
Non current assets | ||||||||||
Net PPE | -13.24%11.88M | -13.48%12.27M | -11.24%12.97M | -10.83%13.53M | -10.83%13.53M | -13.76%13.69M | -13.06%14.19M | -15.13%14.61M | -10.51%15.17M | -10.51%15.17M |
-Gross PPE | 1.79%29.12M | 1.45%28.9M | 2.44%28.99M | 2.53%28.94M | 2.53%28.94M | -0.72%28.6M | -0.13%28.49M | -4.72%28.3M | -15.53%28.22M | -15.53%28.22M |
-Accumulated depreciation | -15.59%-17.24M | -16.26%-16.63M | -17.05%-16.02M | -18.06%-15.41M | -18.06%-15.41M | -15.29%-14.92M | -17.15%-14.3M | -9.64%-13.68M | 20.69%-13.05M | 20.69%-13.05M |
Goodwill and other intangible assets | -13.32%657.18M | -13.18%676.66M | -12.85%696.77M | -12.52%716.91M | -12.52%716.91M | -9.76%758.17M | -9.25%779.41M | -9.09%799.52M | -9.17%819.48M | -9.17%819.48M |
-Goodwill | 0.00%117.02M | 0.00%117.02M | 0.00%117.02M | 0.00%117.02M | 0.00%117.02M | -0.31%117.02M | 1.39%117.02M | 1.39%117.02M | -0.42%117.02M | -0.42%117.02M |
-Other intangible assets | -15.75%540.16M | -15.51%559.64M | -15.05%579.75M | -14.60%599.89M | -14.60%599.89M | -11.29%641.15M | -10.90%662.39M | -10.67%682.5M | -10.48%702.46M | -10.48%702.46M |
Investments and advances | --0 | --0 | -78.47%11.66M | -82.30%16.62M | -82.30%16.62M | -80.96%25.13M | -74.57%37.48M | -56.79%54.16M | -21.21%93.9M | -21.21%93.9M |
Other non current assets | -13.33%33.65M | -6.75%35.89M | -4.52%38.37M | -5.78%37.51M | -5.78%37.51M | -5.98%38.82M | -18.70%38.49M | -17.97%40.18M | -19.15%39.81M | -19.15%39.81M |
Total non current assets | -15.93%702.7M | -16.64%724.83M | -16.37%759.77M | -18.98%784.56M | -18.98%784.56M | -18.79%835.8M | -18.72%869.56M | -15.18%908.47M | -10.96%968.36M | -10.96%968.36M |
Total assets | 4.48%1.34B | 1.76%1.32B | -27.22%1.3B | -24.95%1.28B | -24.95%1.28B | -24.10%1.29B | -23.71%1.29B | 9.29%1.79B | 0.79%1.7B | 0.79%1.7B |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Payables | 88.61%6.39M | 5.18%4.63M | 24.71%14.4M | -81.37%1.96M | -81.37%1.96M | -78.84%3.39M | -87.61%4.4M | -6.32%11.54M | 12.99%10.54M | 12.99%10.54M |
-accounts payable | 88.61%6.39M | 5.18%4.63M | 24.71%14.4M | -81.37%1.96M | -81.37%1.96M | -78.84%3.39M | -87.61%4.4M | -6.32%11.54M | 12.99%10.54M | 12.99%10.54M |
Current accrued expenses | -0.49%209.02M | 11.10%226.38M | 1.91%213.65M | -5.09%202.83M | -5.09%202.83M | -8.38%210.05M | -8.07%203.77M | 6.64%209.64M | 3.48%213.71M | 3.48%213.71M |
Current debt and capital lease obligation | 8.81%9.23M | 20.75%9.68M | -98.13%9.13M | -97.96%8.33M | -97.96%8.33M | -97.92%8.48M | -98.03%8.02M | 7,853.74%488.44M | 6,210.93%408.76M | 6,210.93%408.76M |
-Current debt | ---- | ---- | ---- | ---- | ---- | ---- | ---- | --480.86M | --401.97M | --401.97M |
-Current capital lease obligation | 8.81%9.23M | 20.75%9.68M | 20.55%9.13M | 22.68%8.33M | 22.68%8.33M | 25.50%8.48M | 13.91%8.02M | 23.37%7.58M | 4.85%6.79M | 4.85%6.79M |
Other current liabilities | -0.02%46.58M | 145.78%50.93M | 713.97%60.93M | 48.36%56.35M | 48.36%56.35M | -16.47%46.59M | -62.91%20.72M | -86.38%7.49M | -41.54%37.98M | -41.54%37.98M |
Current liabilities | 1.38%291.51M | 22.20%308.66M | -57.00%314.55M | -57.82%290.2M | -57.82%290.2M | -60.39%287.53M | -65.66%252.59M | 157.08%731.55M | 118.14%687.96M | 118.14%687.96M |
Non current liabilities | ||||||||||
Long term debt and capital lease obligation | -14.52%28.93M | -11.36%30.29M | -9.63%32.99M | -7.78%33.2M | -7.78%33.2M | -6.07%33.84M | -7.83%34.18M | -91.71%36.51M | -91.44%36M | -91.44%36M |
-Long term capital lease obligation | -14.52%28.93M | -11.36%30.29M | -9.63%32.99M | -7.78%33.2M | -7.78%33.2M | -6.07%33.84M | -7.83%34.18M | -8.47%36.51M | -12.83%36M | -12.83%36M |
Non current deferred liabilities | -79.09%7.36M | -74.18%11.44M | -60.74%19.5M | -49.88%24.96M | -49.88%24.96M | -39.44%35.22M | -25.31%44.3M | -20.96%49.67M | -41.64%49.81M | -41.64%49.81M |
Other non current liabilities | -52.64%7.75M | -81.04%7.99M | -87.28%7.88M | -81.66%7.8M | -81.66%7.8M | -18.77%16.37M | 94.93%42.12M | 164.71%61.93M | -18.22%42.54M | -18.22%42.54M |
Total non current liabilities | -48.45%44.04M | -58.77%49.72M | -59.24%60.37M | -48.61%65.96M | -48.61%65.96M | -25.28%85.44M | 2.20%120.6M | -71.87%148.11M | -77.00%128.35M | -77.00%128.35M |
Total liabilities | -10.03%335.55M | -3.97%358.38M | -57.38%374.92M | -56.37%356.16M | -56.37%356.16M | -55.62%372.97M | -56.28%373.19M | 8.46%879.66M | -6.53%816.3M | -6.53%816.3M |
Shareholders'equity | ||||||||||
Share capital | 0.00%55K | 0.00%55K | 1.85%55K | 1.85%55K | 1.85%55K | 1.85%55K | 3.77%55K | 1.89%54K | 1.89%54K | 1.89%54K |
-common stock | 0.00%55K | 0.00%55K | 1.85%55K | 1.85%55K | 1.85%55K | 1.85%55K | 3.77%55K | 1.89%54K | 1.89%54K | 1.89%54K |
Retained earnings | 12.40%541.1M | 1.05%502.6M | -3.11%482.69M | 0.27%482.56M | 0.27%482.56M | 5.62%481.39M | 9.55%497.36M | 11.66%498.19M | 26.67%481.25M | 26.67%481.25M |
Paid-in capital | 7.86%465.92M | 7.28%455.17M | 7.38%446.96M | 7.69%439.49M | 7.69%439.49M | 7.71%431.96M | 8.90%424.27M | 8.67%416.23M | -6.04%408.12M | -6.04%408.12M |
Gains losses not affecting retained earnings | 106.47%78K | 79.04%-372K | 77.07%-534K | 81.53%-593K | 81.53%-593K | 70.19%-1.21M | 20.05%-1.78M | -201.29%-2.33M | -308.58%-3.21M | -308.58%-3.21M |
Total stockholders'equity | 10.41%1.01B | 4.08%957.45M | 1.87%929.17M | 3.98%921.52M | 3.98%921.52M | 6.96%912.19M | 9.33%919.91M | 10.10%912.15M | 8.62%886.2M | 8.62%886.2M |
Total equity | 10.41%1.01B | 4.08%957.45M | 1.87%929.17M | 3.98%921.52M | 3.98%921.52M | 6.96%912.19M | 9.33%919.91M | 10.10%912.15M | 8.62%886.2M | 8.62%886.2M |
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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