(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 | -82.05%19.15M | -65.41%51.8M | -84.02%75.79M | -84.02%75.79M | -90.24%59.28M | -87.04%106.71M | -49.36%149.77M | 55.22%474.21M | 55.22%474.21M | 188.17%607.5M |
-Cash and cash equivalents | -82.05%19.15M | -65.41%51.8M | -84.02%75.79M | -84.02%75.79M | -90.24%59.28M | -87.04%106.71M | -49.36%149.77M | 55.22%474.21M | 55.22%474.21M | 188.17%607.5M |
Receivables | 43.82%22.62M | -53.97%17.97M | -66.39%25.79M | -66.39%25.79M | -62.15%23.7M | -50.80%15.73M | 166.15%39.03M | 727.73%76.73M | 727.73%76.73M | 379.54%62.61M |
-Accounts receivable | 43.82%22.62M | -53.97%17.97M | -66.39%25.79M | -66.39%25.79M | -62.15%23.7M | -50.80%15.73M | 166.15%39.03M | 727.73%76.73M | 727.73%76.73M | 379.54%62.61M |
Prepaid assets | -28.48%1.6M | -26.79%1.8M | -17.76%1.79M | -17.76%1.79M | -88.51%2.18M | -88.37%2.23M | -88.96%2.46M | -24.33%2.17M | -24.33%2.17M | 4,316.05%18.99M |
Restricted cash | --0 | --0 | -49.99%4.69M | -49.99%4.69M | -62.12%4.69M | 212.50%9.38M | 212.50%9.38M | --9.38M | --9.38M | --12.38M |
Other current assets | -95.18%294K | 77.87%2.09M | 605.51%9.48M | 605.51%9.48M | 6,581.72%6.21M | 16,372.97%6.1M | 1,425.97%1.18M | -3.10%1.34M | -3.10%1.34M | 151.35%93K |
Total current assets | -68.84%43.67M | -65.37%73.66M | -79.53%117.53M | -79.53%117.53M | -86.31%96.06M | -84.03%140.14M | -36.65%212.7M | 75.24%574.29M | 75.24%574.29M | 212.73%701.56M |
Non current assets | ||||||||||
Net PPE | -24.85%799.16M | 15.49%1.14B | 43.21%1.15B | 43.21%1.15B | 62.42%1.11B | 151.97%1.06B | 169.83%983.73M | 399.27%802.38M | 399.27%802.38M | 436.17%684.85M |
-Gross PPE | -33.67%799.16M | 22.12%1.34B | 49.34%1.34B | 49.34%1.34B | 68.63%1.28B | 150.05%1.2B | 162.82%1.1B | 324.69%894.8M | 324.69%894.8M | 332.46%757.47M |
-Accumulated depreciation | ---- | -78.20%-207.2M | -102.52%-187.17M | -102.52%-187.17M | -127.22%-165.02M | -136.48%-141.41M | -115.42%-116.28M | -84.90%-92.42M | -84.90%-92.42M | -53.14%-72.63M |
Goodwill and other intangible assets | ---- | ---- | ---- | ---- | --0 | --0 | --14.04M | ---- | ---- | ---- |
-Other intangible assets | ---- | ---- | ---- | ---- | ---- | ---- | --14.04M | ---- | ---- | ---- |
Investments and advances | 0.00%6.09M | 0.00%6.09M | 0.00%6.09M | 0.00%6.09M | -45.09%6.09M | 0.00%6.09M | 0.00%6.09M | --6.09M | --6.09M | --11.09M |
Long-term notes receivables | 6.47%25.75M | 2.73%24.19M | 266.78%24.19M | 266.78%24.19M | --24.19M | --24.19M | --23.55M | --6.6M | --6.6M | ---- |
Non current deferred assets | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | --0 |
Other non current assets | 145.45%64.99M | -1.24%26.66M | -27.38%27.11M | -27.38%27.11M | -17.33%27.1M | -24.62%26.48M | 4.77%27M | 59.85%37.33M | 59.85%37.33M | 50.46%32.78M |
Total non current assets | -20.01%895.99M | 13.15%1.19B | 41.54%1.21B | 41.54%1.21B | 60.52%1.17B | 141.80%1.12B | 165.98%1.05B | 189.84%852.39M | 189.84%852.39M | 180.77%728.72M |
Total assets | -25.44%939.66M | -0.03%1.27B | -7.20%1.32B | -7.20%1.32B | -11.50%1.27B | -6.02%1.26B | 73.05%1.27B | 129.44%1.43B | 129.44%1.43B | 195.59%1.43B |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Payables | 9.41%55.65M | 424.52%57.1M | 930.24%57.02M | 930.24%57.02M | 116.81%38.6M | 793.61%50.86M | 28.46%10.89M | 44.03%5.54M | 44.03%5.54M | -38.41%17.8M |
-accounts payable | 10.21%55.06M | 460.36%55.29M | 1,056.05%55.55M | 1,056.05%55.55M | 114.60%37.36M | 875.11%49.96M | 26.47%9.87M | 68.48%4.81M | 68.48%4.81M | -37.52%17.41M |
-Total tax payable | -34.76%593K | 77.75%1.81M | 102.19%1.48M | 102.19%1.48M | 213.64%1.24M | 59.75%909K | 104.82%1.02M | -26.34%730K | -26.34%730K | -62.18%396K |
Current accrued expenses | -39.31%42.7M | -23.36%58.57M | -17.08%104.13M | -17.08%104.13M | -26.94%93.14M | 38.21%70.35M | 46.33%76.42M | 61.49%125.58M | 61.49%125.58M | 329.89%127.49M |
Current debt and capital lease obligation | 1,106.94%52.02M | 704.13%29.8M | -97.17%4.71M | -97.17%4.71M | -97.22%4.61M | -97.40%4.31M | 48.30%3.71M | 7,202.81%166.43M | 7,202.81%166.43M | 7,157.63%165.98M |
-Current debt | --47.12M | --25M | ---- | ---- | ---- | ---- | ---- | --163.56M | --163.56M | --163.27M |
-Current capital lease obligation | 13.57%4.9M | 29.55%4.8M | 63.83%4.71M | 63.83%4.71M | 70.24%4.61M | 65.20%4.31M | 48.30%3.71M | 26.15%2.88M | 26.15%2.88M | 18.41%2.71M |
Other current liabilities | 23.05%10.14M | 119.15%14.01M | --13.33M | --13.33M | 2.13%19.69M | -48.16%8.24M | -69.76%6.39M | ---- | ---- | 771.35%19.28M |
Current liabilities | 19.99%160.5M | 63.73%159.48M | -39.77%179.2M | -39.77%179.2M | -52.80%156.04M | -43.78%133.76M | 15.49%97.4M | 235.08%297.54M | 235.08%297.54M | 424.16%330.56M |
Non current liabilities | ||||||||||
Long term debt and capital lease obligation | -58.84%208.03M | -13.37%437.44M | 11.73%482.85M | 11.73%482.85M | 14.48%494.06M | 17.25%505.47M | 819.97%504.98M | 316.39%432.17M | 316.39%432.17M | --431.56M |
-Long term debt | -77.31%87.04M | -17.41%316.22M | -5.44%361.4M | -5.44%361.4M | -2.40%372.39M | 0.66%383.57M | 597.50%382.87M | 611.92%382.21M | 611.92%382.21M | --381.56M |
-Long term capital lease obligation | -0.74%120.99M | -0.73%121.22M | 143.08%121.45M | 143.08%121.45M | 143.36%121.68M | 143.62%121.9M | --122.11M | -0.28%49.96M | -0.28%49.96M | --50M |
Other non current liabilities | -24.44%16.36M | 26.35%24.23M | 51.69%37.05M | 51.69%37.05M | 64.94%45.47M | 19.19%21.65M | -71.93%19.18M | 123.76%24.43M | 123.76%24.43M | -55.25%27.57M |
Total non current liabilities | -57.43%224.38M | -11.92%461.67M | 13.86%519.91M | 13.86%519.91M | 17.51%539.54M | 17.33%527.11M | 325.41%524.16M | 298.06%456.6M | 298.06%456.6M | 645.19%459.13M |
Total liabilities | -41.76%384.89M | -0.07%621.15M | -7.30%699.1M | -7.30%699.1M | -11.92%695.57M | -3.83%660.88M | 199.47%621.56M | 270.58%754.14M | 270.58%754.14M | 533.39%789.68M |
Shareholders'equity | ||||||||||
Share capital | 57.27%8.84M | 43.30%7.91M | 25.56%6.93M | 25.56%6.93M | 7.00%5.9M | 1.92%5.62M | 4.33%5.52M | 14.11%5.52M | 14.11%5.52M | 21.57%5.52M |
-common stock | 57.90%8.78M | 43.79%7.85M | 25.84%6.87M | 25.84%6.87M | 7.07%5.84M | 1.94%5.56M | 4.38%5.46M | 14.29%5.46M | 14.29%5.46M | 21.87%5.46M |
-Preferred stock | 0.00%61K | 0.00%61K | 0.00%61K | 0.00%61K | 0.00%61K | 0.00%61K | 0.00%61K | 0.00%61K | 0.00%61K | 0.00%61K |
Retained earnings | -24.61%-1.33B | -18.12%-1.19B | -16.94%-1.15B | -16.94%-1.15B | -12.00%-1.13B | -7.04%-1.07B | -1.07%-1.01B | -5.35%-980.87M | -5.35%-980.87M | -13.72%-1.01B |
Paid-in capital | 12.94%1.88B | 10.94%1.83B | 7.11%1.77B | 7.11%1.77B | 3.08%1.7B | 0.96%1.66B | 8.66%1.65B | 22.56%1.65B | 22.56%1.65B | 32.34%1.65B |
Total stockholders'equity | -7.44%554.77M | -0.00%645.52M | -7.08%624.92M | -7.08%624.92M | -10.99%570.2M | -8.32%599.37M | 23.04%645.54M | 60.78%672.54M | 60.78%672.54M | 78.34%640.6M |
Total equity | -7.44%554.77M | -0.00%645.52M | -7.08%624.92M | -7.08%624.92M | -10.99%570.2M | -8.32%599.37M | 23.04%645.54M | 60.78%672.54M | 60.78%672.54M | 78.34%640.6M |
Currency Unit | USD | USD | USD | USD | USD | USD | USD | USD | USD | USD |
No Data
No Data