(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 | -73.44%39.28M | 465.62%66.59M | 294.48%92.69M | 294.48%92.69M | 263.00%110.74M | 2,171.34%147.86M | 89.86%11.77M | 158.06%23.5M | 158.06%23.5M | 451.15%30.51M |
-Cash and cash equivalents | -73.44%39.28M | 465.62%66.59M | 294.48%92.69M | 294.48%92.69M | 263.00%110.74M | 2,171.34%147.86M | 89.86%11.77M | 158.06%23.5M | 158.06%23.5M | 451.15%30.51M |
-Accounts receivable | -23.59%17.97M | -18.57%19.68M | 20.66%22.21M | 20.66%22.21M | 64.35%24.19M | 73.83%23.51M | 47.48%24.17M | 26.24%18.4M | 26.24%18.4M | -0.70%14.72M |
-Other receivables | 0.98%616K | 3.78%687K | -24.72%609K | -24.72%609K | -20.57%637K | -26.77%610K | -24.94%662K | -8.28%809K | -8.28%809K | -12.16%802K |
Prepaid assets | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | --0 |
Current deferred assets | 2.08%100.33M | 2.13%100.35M | 1.54%95.65M | 1.54%95.65M | 2.91%97.07M | 2.42%98.28M | 1.31%98.26M | -0.33%94.2M | -0.33%94.2M | -0.68%94.32M |
Total current assets | -38.80%188.95M | 27.57%213.93M | 42.87%242.76M | 42.87%242.76M | 54.56%266.27M | 101.32%308.72M | 8.72%167.7M | 15.59%169.92M | 15.59%169.92M | 19.77%172.27M |
Non current assets | ||||||||||
-Accumulated depreciation | ---- | ---- | -49.47%-116.67M | -49.47%-116.67M | ---- | ---- | ---- | -44.34%-78.06M | -44.34%-78.06M | ---- |
-Long term equity investment | -4.50%442.54M | 79.31%447.7M | 79.62%451.5M | 79.62%451.5M | 83.03%460.63M | 3,498.71%463.41M | 13.80%249.69M | 24.07%251.37M | 24.07%251.37M | 56.28%251.67M |
-Including:Held to maturity investments | -82.64%184K | -54.28%571K | 19.65%2.28M | 19.65%2.28M | -90.77%186K | -47.37%1.06M | -8.03%1.25M | 536.45%1.9M | 536.45%1.9M | --2.02M |
Financial assets | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | --0 |
Non current note receivables | ---- | ---- | ---- | ---- | -78.57%3K | -70.59%5K | -60.00%8K | ---- | ---- | -90.85%14K |
-Goodwill | -4.84%157.11M | -5.48%158.31M | -6.06%159.89M | -6.06%159.89M | -5.74%162.51M | -5.79%165.1M | -5.94%167.49M | -5.87%170.2M | -5.87%170.2M | 10.01%172.41M |
Regulatory assets | -38.34%18.44M | -36.13%20.15M | -6.54%24.33M | -6.54%24.33M | 33.67%27.96M | 20.80%29.9M | 37.64%31.55M | 38.25%26.03M | 38.25%26.03M | -2.71%20.91M |
Non current deferred assets | ---- | ---- | ---- | ---- | ---- | --31K | --124K | --2.33M | --2.33M | --4.61M |
Total assets | -75.74%441K | -84.32%346K | -71.31%709K | -71.31%709K | -83.39%456K | -20.05%1.82M | -32.10%2.21M | -28.87%2.47M | -28.87%2.47M | -29.47%2.75M |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Current debt and capital lease obligation | 7.37%5.46M | 9.48%5.52M | 16.26%5.4M | 16.26%5.4M | 15.09%5.28M | -97.79%5.09M | 45.54%5.04M | 47.37%4.64M | 47.37%4.64M | 77.40%4.59M |
-Current capital lease obligation | 7.37%5.46M | 9.48%5.52M | 16.26%5.4M | 16.26%5.4M | 15.09%5.28M | 26.92%5.09M | 45.54%5.04M | 47.37%4.64M | 47.37%4.64M | 77.40%4.59M |
-accounts payable | -6.04%11.23M | -23.25%12.77M | -26.18%12.68M | -26.18%12.68M | -36.99%11.68M | -57.57%11.96M | 17.98%16.64M | 71.44%17.17M | 71.44%17.17M | 100.19%18.54M |
-Total tax payable | -1.84%587.09M | 43.46%588.02M | 54.57%587.21M | 54.57%587.21M | 68.23%595.47M | 941.79%598.07M | 54.37%409.9M | 51.46%379.9M | 51.46%379.9M | 67.28%353.97M |
Current accrued expenses | 20.99%33.16M | 63.58%36.04M | 56.08%35.36M | 56.08%35.36M | 34.31%23.1M | 54.96%27.41M | 34.74%22.03M | 48.64%22.65M | 48.64%22.65M | 41.23%17.2M |
Current deferred liabilities | 2.80%152.47M | 4.16%151.14M | 5.33%146.07M | 5.33%146.07M | 5.46%146.84M | 2.79%148.32M | 0.23%145.1M | -1.71%138.68M | -1.71%138.68M | -2.58%139.24M |
Current liabilities | 5.18%204.19M | 8.37%208.19M | 6.99%201.34M | 6.99%201.34M | 1.30%188.38M | -54.19%194.13M | 5.07%192.12M | 8.35%188.19M | 8.35%188.19M | 10.43%185.95M |
Non current liabilities | ||||||||||
-Long term debt | 47.61%19.22M | 38.42%18.91M | 46.77%18.26M | 46.77%18.26M | 29.86%16.66M | 1.13%13.02M | 11.78%13.66M | 4.94%12.44M | 4.94%12.44M | 15.54%12.83M |
Non current accrued expenses | 12.35%383.13M | 16.23%378.9M | 21.57%367.11M | 21.57%367.11M | 29.72%356.54M | 39.38%341.01M | 55.53%325.98M | 58.79%301.98M | 58.79%301.98M | 60.39%274.86M |
Long term provisions | -6.01%423.32M | 81.67%428.79M | 81.33%433.25M | 81.33%433.25M | 85.88%443.97M | --450.38M | 13.92%236.03M | 25.26%238.93M | 25.26%238.93M | 59.29%238.84M |
Total non current liabilities | -0.12%791.28M | 32.26%796.22M | 38.81%788.55M | 38.81%788.55M | 45.18%783.85M | 64.63%792.2M | 34.27%602.02M | 33.82%568.09M | 33.82%568.09M | 42.09%539.92M |
Shareholders'equity | ||||||||||
Share capital | 7.84%35.53M | 7.93%35.04M | 7.86%34.37M | 7.86%34.37M | 8.24%33.59M | 9.11%32.95M | 9.46%32.46M | 11.76%31.87M | 11.76%31.87M | 21.61%31.04M |
-common stock | 7.84%35.53M | 7.93%35.04M | 7.86%34.37M | 7.86%34.37M | 8.24%33.59M | 9.11%32.95M | 9.46%32.46M | 11.76%31.87M | 11.76%31.87M | 21.61%31.04M |
Additional paid-in capital | 44.77%16.66M | 57.50%15.37M | 73.60%14.07M | 73.60%14.07M | 142.97%13.24M | 156.67%11.51M | 176.46%9.76M | 193.27%8.11M | 193.27%8.11M | 113.65%5.45M |
Retained earnings | 20.50%4.05M | --4.03M | --3.64M | --3.64M | --3.14M | --3.36M | ---- | --0 | --0 | ---- |
Gains losses not affecting retained earnings | -83.96%129K | -29.71%433K | 120.41%1.73M | 120.41%1.73M | 150.72%140K | -46.33%804K | -55.27%616K | 128.57%784K | 128.57%784K | 4.17%-276K |
Total equity | -10.09%758.21M | 14.46%780.27M | 20.11%798.43M | 20.11%798.43M | 26.09%813.89M | 41.80%843.31M | 21.00%681.67M | 23.19%664.75M | 23.19%664.75M | 30.87%645.47M |
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