(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 | -29.35%3.58M | -7.74%2.69M | -37.44%4.62M | -37.44%4.62M | 7.31%3.14M | -4.81%5.07M | -66.44%2.92M | 34.61%7.38M | 34.61%7.38M | -56.21%2.93M |
-Cash and cash equivalents | -30.74%3.35M | 38.83%2.47M | -29.57%4.38M | -29.57%4.38M | 63.39%2.91M | 15.63%4.84M | -76.51%1.78M | 13.48%6.22M | 13.48%6.22M | -73.36%1.78M |
-Short term investments | 0.00%229K | -80.14%227K | -79.71%235K | -79.71%235K | -79.77%232K | -79.89%229K | 0.62%1.14M | --1.16M | --1.16M | --1.15M |
Receivables | -2.71%1.87M | -7.24%1.75M | 13.58%1.99M | 13.58%1.99M | -17.47%2.13M | 15.34%1.92M | 3.96%1.89M | -37.20%1.75M | -37.20%1.75M | -16.06%2.58M |
-Accounts receivable | 25.00%1.87M | 23.00%1.75M | 17.39%1.89M | 17.39%1.89M | -0.06%1.76M | 4.26%1.49M | 8.19%1.43M | -36.46%1.61M | -36.46%1.61M | -34.74%1.76M |
-Other receivables | ---- | ---- | -29.58%100K | -29.58%100K | -54.61%374K | 83.98%425K | -7.19%465K | -44.53%142K | -44.53%142K | 115.71%824K |
Restricted cash | -94.21%29K | -95.79%34K | -95.60%22K | -95.60%22K | -98.86%12K | -73.70%501K | -64.50%807K | --500K | --500K | --1.06M |
Current deferred assets | -21.88%200K | 6.25%221K | 46.71%245K | 46.71%245K | -11.68%257K | 36.17%256K | 17.51%208K | -13.02%167K | -13.02%167K | -44.04%291K |
Holding assets for sale | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | --0 |
Other current assets | -31.93%989K | -5.14%1.27M | -13.06%992K | -13.06%992K | 116.95%1.15M | 142.57%1.45M | 73.74%1.34M | 218.72%1.14M | 218.72%1.14M | -25.00%531K |
Total current assets | -27.53%6.66M | -16.63%5.98M | -28.09%7.87M | -28.09%7.87M | -9.41%6.69M | -4.99%9.19M | -47.83%7.17M | -77.01%10.94M | -77.01%10.94M | -32.77%7.39M |
Non current assets | ||||||||||
Net PPE | 7.02%36.38M | 7.49%35.34M | 2.24%33.55M | 2.24%33.55M | 2.94%34.24M | 3.15%34M | -1.60%32.87M | -3.46%32.82M | -3.46%32.82M | -39.50%33.26M |
-Gross PPE | 6.66%185.96M | 6.90%182.68M | 5.92%178.62M | 5.92%178.62M | 5.91%177.06M | 6.08%174.35M | 5.25%170.89M | -13.73%168.64M | -13.73%168.64M | -13.57%167.18M |
-Accumulated depreciation | -6.58%-149.58M | -6.76%-147.35M | -6.81%-145.07M | -6.81%-145.07M | -6.65%-142.82M | -6.81%-140.35M | -7.03%-138.02M | 15.89%-135.82M | 15.89%-135.82M | 3.27%-133.91M |
Goodwill and other intangible assets | 3.99%11.89M | 4.92%11.86M | 5.24%11.72M | 5.24%11.72M | 3.94%11.58M | 2.63%11.43M | 1.38%11.3M | -0.11%11.14M | -0.11%11.14M | -68.60%11.14M |
-Goodwill | 0.00%861K | 0.00%861K | 0.00%861K | 0.00%861K | 0.00%861K | 0.00%861K | 0.00%861K | 0.00%861K | 0.00%861K | -95.57%861K |
-Other intangible assets | 4.31%11.03M | 5.32%11M | 5.68%10.86M | 5.68%10.86M | 4.27%10.72M | 2.85%10.57M | 1.50%10.44M | -0.12%10.28M | -0.12%10.28M | -35.97%10.28M |
Non current deferred assets | -19.31%351K | -34.22%369K | -26.79%358K | -26.79%358K | -14.80%380K | -24.35%435K | -0.88%561K | -5.60%489K | -5.60%489K | -10.98%446K |
Other non current assets | ---- | ---- | ---- | ---- | ---- | ---- | ---- | 0.00%1K | 0.00%1K | ---- |
Total non current assets | 6.01%48.62M | 6.32%47.56M | 2.67%45.63M | 2.67%45.63M | 3.01%46.2M | 2.67%45.87M | -0.86%44.74M | -2.66%44.45M | -2.66%44.45M | -50.69%44.85M |
Total assets | 0.41%55.28M | 3.15%53.54M | -3.41%53.5M | -3.41%53.5M | 1.26%52.89M | 1.30%55.06M | -11.82%51.91M | -40.60%55.38M | -40.60%55.38M | -48.76%52.24M |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Current debt and capital lease obligation | 2.34%5.55M | 0.95%5.29M | 4.26%5.24M | 4.26%5.24M | 5.14%5.38M | 9.68%5.43M | 2.44%5.24M | -36.27%5.02M | -36.27%5.02M | -48.39%5.11M |
-Current capital lease obligation | 2.34%5.55M | 0.95%5.29M | 4.26%5.24M | 4.26%5.24M | 5.14%5.38M | 9.68%5.43M | 2.44%5.24M | -10.81%5.02M | -10.81%5.02M | -33.22%5.11M |
Payables | 25.94%3.71M | 2.65%4.14M | -32.77%3M | -32.77%3M | -41.92%2.79M | -42.16%2.95M | -33.27%4.03M | --4.46M | --4.46M | --4.81M |
-accounts payable | 25.00%3.68M | 10.20%4.11M | -33.27%2.98M | -33.27%2.98M | -34.60%2.78M | -20.15%2.94M | -13.31%3.73M | --4.46M | --4.46M | --4.25M |
-Other payable | 2,800.00%29K | -88.93%34K | --22K | --22K | -97.85%12K | -99.93%1K | -82.41%307K | ---- | ---- | --557K |
Current deferred liabilities | -10.85%189K | 0.51%198K | 51.97%193K | 51.97%193K | 54.81%209K | 51.43%212K | 13.87%197K | -33.51%127K | -33.51%127K | -43.04%135K |
Current liabilities | 10.11%9.45M | 1.67%9.63M | -12.30%8.43M | -12.30%8.43M | -16.70%8.38M | -15.68%8.58M | -16.42%9.47M | -60.24%9.61M | -60.24%9.61M | -31.55%10.06M |
Non current liabilities | ||||||||||
Long term debt and capital lease obligation | 56.26%34.48M | 96.69%28.9M | 72.52%26.7M | 72.52%26.7M | 135.63%23.01M | 144.41%22.06M | 55.12%14.69M | -44.80%15.48M | -44.80%15.48M | -73.48%9.77M |
-Long term debt | 63.89%21.08M | 174.38%17.05M | 174.01%16.87M | 174.01%16.87M | --12.99M | --12.86M | --6.22M | -64.90%6.16M | -64.90%6.16M | ---- |
-Long term capital lease obligation | 45.60%13.4M | 39.74%11.85M | 5.46%9.83M | 5.46%9.83M | 2.61%10.02M | 1.95%9.2M | -10.49%8.48M | -11.19%9.32M | -11.19%9.32M | -48.53%9.77M |
Long term provisions | -24.75%225K | -35.10%233K | -8.60%255K | -8.60%255K | -43.10%301K | -42.28%299K | -28.91%359K | -43.52%279K | -43.52%279K | 16.52%529K |
Non current deferred liabilities | 5.93%143K | 5.38%137K | -35.50%109K | -35.50%109K | -46.89%111K | -50.37%135K | -50.00%130K | -37.64%169K | -37.64%169K | -24.00%209K |
Other non current liabilities | ---- | --672K | 168.80%672K | 168.80%672K | --523K | --523K | ---- | --250K | --250K | ---- |
Total non current liabilities | 51.36%34.84M | 97.22%29.94M | 71.48%27.73M | 71.48%27.73M | 127.98%23.95M | 134.49%23.02M | 48.31%15.18M | -43.84%16.17M | -43.84%16.17M | -72.03%10.51M |
Total liabilities | 40.16%44.29M | 60.51%39.57M | 40.25%36.16M | 40.25%36.16M | 57.20%32.33M | 58.05%31.6M | 14.30%24.65M | -51.32%25.78M | -51.32%25.78M | -60.65%20.57M |
Shareholders'equity | ||||||||||
Share capital | 0.20%118.47M | 0.19%118.38M | 0.19%118.34M | 0.19%118.34M | 0.15%118.23M | 0.20%118.23M | 0.19%118.16M | 0.22%118.11M | 0.22%118.11M | 0.25%118.06M |
-common stock | 0.20%118.47M | 0.19%118.38M | 0.19%118.34M | 0.19%118.34M | 0.15%118.23M | 0.20%118.23M | 0.19%118.16M | 0.22%118.11M | 0.22%118.11M | 0.25%118.06M |
Additional paid-in capital | 4.06%28.19M | 3.06%27.79M | 3.11%27.66M | 3.11%27.66M | 1.97%27.28M | 1.88%27.09M | 1.85%26.97M | 1.63%26.82M | 1.63%26.82M | -0.71%26.75M |
Retained earnings | -10.92%-136.24M | -11.93%-133.02M | -11.34%-129.48M | -11.34%-129.48M | -10.56%-125.92M | -10.68%-122.83M | -10.18%-118.84M | -11.05%-116.29M | -11.05%-116.29M | -18.92%-113.89M |
Other equity interest | -40.81%570K | -14.95%819K | -14.95%819K | -14.95%819K | 29.61%963K | 29.61%963K | 29.61%963K | 29.61%963K | 29.61%963K | 0.00%743K |
Total stockholders'equity | -53.15%10.99M | -48.74%13.97M | -41.44%17.33M | -41.44%17.33M | -35.07%20.56M | -31.72%23.46M | -26.93%27.25M | -26.48%29.6M | -26.48%29.6M | -36.26%31.67M |
Total equity | -53.15%10.99M | -48.74%13.97M | -41.44%17.33M | -41.44%17.33M | -35.07%20.56M | -31.72%23.46M | -26.93%27.25M | -26.48%29.6M | -26.48%29.6M | -36.26%31.67M |
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 | -- | -- | -- | -- | -- | -- | -- |
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