(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 | 45.08%234.61M | 35.65%233.75M | 29.06%254.6M | 30.92%179.06M | 30.92%179.06M | 19.08%161.71M | 7.88%172.32M | -9.09%197.27M | 81.56%136.77M | 81.56%136.77M |
-Cash and cash equivalents | 45.08%234.6M | 35.65%233.75M | 29.06%254.6M | 30.92%179.06M | 30.92%179.06M | 19.08%161.71M | 7.88%172.32M | -9.09%197.27M | 81.57%136.77M | 81.57%136.77M |
-Short term investments | 0.00%2K | 0.00%2K | 50.00%3K | 50.00%3K | 50.00%3K | 0.00%2K | 0.00%2K | 0.00%2K | -71.43%2K | -71.43%2K |
Receivables | -8.94%170.82M | -7.06%185.84M | 17.68%243.95M | 38.58%201M | 38.58%201M | 37.97%187.59M | 40.55%199.96M | 61.13%207.3M | 37.19%145.04M | 37.19%145.04M |
-Accounts receivable | -6.31%107.58M | -6.77%121.63M | 22.13%175.77M | 39.97%134.08M | 39.97%134.08M | 38.03%114.82M | 41.31%130.46M | 60.06%143.92M | 35.44%95.79M | 35.44%95.79M |
-Taxes receivable | -11.46%2.57M | -18.25%2.47M | -3.75%3M | 54.84%2.27M | 54.84%2.27M | -4.04%2.9M | 36.28%3.02M | 143.97%3.12M | 55.46%1.47M | 55.46%1.47M |
-Other receivables | -13.17%60.68M | -7.13%61.74M | 8.17%65.18M | 35.30%64.65M | 35.30%64.65M | 40.41%69.88M | 39.28%66.48M | 60.87%60.25M | 40.32%47.78M | 40.32%47.78M |
Inventory | 9.69%5.26M | 16.45%4.97M | 204.93%4.52M | 218.32%4.52M | 218.32%4.52M | 259.06%4.8M | 373.17%4.27M | 115.57%1.48M | 148.95%1.42M | 148.95%1.42M |
Other current assets | 34.08%46.98M | 37.31%46.48M | 35.04%45.12M | 24.84%33.16M | 24.84%33.16M | 29.97%35.04M | 14.85%33.85M | 27.69%33.41M | 37.18%26.56M | 37.18%26.56M |
Total current assets | 17.61%457.66M | 14.78%471.04M | 24.74%548.18M | 34.84%417.74M | 34.84%417.74M | 29.69%389.14M | 23.47%410.4M | 16.31%439.45M | 54.14%309.8M | 54.14%309.8M |
Non current assets | ||||||||||
Net PPE | 17.12%87.92M | 6.21%83.15M | 14.67%84.42M | 9.60%81.1M | 9.60%81.1M | -1.46%75.07M | 1.01%78.29M | 5.20%73.62M | 6.15%73.99M | 6.15%73.99M |
-Gross PPE | 17.12%87.92M | 6.21%83.15M | 14.67%84.42M | 11.87%168.52M | 11.87%168.52M | -1.46%75.07M | 1.01%78.29M | 5.20%73.62M | 13.62%150.65M | 13.62%150.65M |
-Accumulated depreciation | ---- | ---- | ---- | -14.05%-87.43M | -14.05%-87.43M | ---- | ---- | ---- | -21.91%-76.66M | -21.91%-76.66M |
Investments and advances | 24.73%2.63M | 16.71%2.54M | 22.76%2.61M | 13.15%2.41M | 13.15%2.41M | 43.80%2.11M | 46.43%2.17M | 118.09%2.12M | 113.43%2.13M | 113.43%2.13M |
-Long term equity investment | 24.73%2.63M | 16.71%2.54M | 22.76%2.61M | 13.15%2.41M | 13.15%2.41M | 43.80%2.11M | 46.43%2.17M | 118.09%2.12M | 113.43%2.13M | 113.43%2.13M |
Goodwill and other intangible assets | 1.10%927.29M | -0.90%933.84M | 7.87%947.42M | 3.67%906.08M | 3.67%906.08M | 2.34%917.22M | 7.95%942.3M | 18.44%878.29M | 17.45%874M | 17.45%874M |
-Goodwill | 5.56%247.29M | 3.88%245.13M | 7.26%243.04M | 7.09%238.09M | 7.09%238.09M | 5.60%234.27M | 9.36%235.97M | 16.77%226.58M | 16.36%222.33M | 16.36%222.33M |
-Other intangible assets | -0.43%680M | -2.50%688.71M | 8.08%704.38M | 2.50%667.99M | 2.50%667.99M | 1.27%682.95M | 7.49%706.33M | 19.04%651.71M | 17.83%651.67M | 17.83%651.67M |
Non current deferred assets | 298.38%20.7M | 200.25%21.34M | -3.02%20.57M | -17.20%16.62M | -17.20%16.62M | -43.66%5.2M | -15.57%7.11M | 194.57%21.21M | 187.21%20.07M | 187.21%20.07M |
Other non current assets | -11.46%10.08M | 4.23%10.34M | -28.56%10.59M | -24.29%11.21M | -24.29%11.21M | -23.53%11.38M | 0.16%9.92M | 107.58%14.82M | 169.20%14.81M | 169.20%14.81M |
Total non current assets | 3.72%1.05B | 1.10%1.05B | 7.63%1.07B | 3.29%1.02B | 3.29%1.02B | 1.30%1.01B | 7.17%1.04B | 19.74%990.06M | 19.06%985M | 19.06%985M |
Total assets | 7.58%1.51B | 4.97%1.52B | 12.89%1.61B | 10.84%1.44B | 10.84%1.44B | 7.86%1.4B | 11.33%1.45B | 18.66%1.43B | 25.91%1.29B | 25.91%1.29B |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Current debt and capital lease obligation | 62.85%317.4M | 23.01%267.9M | 66.01%286.56M | -27.60%181.69M | -27.60%181.69M | -7.05%194.9M | 27.74%217.79M | 45.75%172.62M | 173.27%250.97M | 173.27%250.97M |
-Current debt | 68.25%295.86M | 24.00%246.16M | 71.96%265.22M | -30.61%161.08M | -30.61%161.08M | -7.77%175.85M | 30.97%198.51M | 51.67%154.23M | 207.05%232.14M | 207.05%232.14M |
-Current capital lease obligation | 13.06%21.54M | 12.81%21.75M | 16.07%21.34M | 9.51%20.61M | 9.51%20.61M | 0.08%19.06M | 1.87%19.28M | 9.77%18.38M | 15.95%18.82M | 15.95%18.82M |
Payables | 9.29%220.49M | 10.05%213.77M | 22.68%264.04M | 21.71%243.78M | 21.71%243.78M | 18.03%201.75M | 10.55%194.26M | 21.44%215.22M | 28.18%200.3M | 28.18%200.3M |
-accounts payable | 7.19%184.56M | 9.22%177.89M | 18.99%227.13M | 20.93%211.42M | 20.93%211.42M | 23.36%172.18M | 14.02%162.87M | 24.62%190.89M | 28.55%174.82M | 28.55%174.82M |
-Total tax payable | 9.79%21.62M | 24.87%20.62M | 64.53%23.1M | 75.01%20.07M | 75.01%20.07M | 17.02%19.69M | 14.20%16.51M | 10.67%14.04M | 0.59%11.47M | 0.59%11.47M |
-Other payable | 44.96%14.32M | 2.63%15.27M | 34.15%13.81M | -12.26%12.29M | -12.26%12.29M | -32.02%9.88M | -19.21%14.88M | -9.43%10.29M | 57.83%14.01M | 57.83%14.01M |
Current provisions | 30.63%1.58M | -2.62%1.64M | 42.00%1.54M | -9.34%1.71M | -9.34%1.71M | 1.85%1.21M | 56.32%1.68M | -25.14%1.08M | -0.48%1.88M | -0.48%1.88M |
Current deferred liabilities | 12.82%202.88M | 15.44%279.34M | 19.17%343.43M | 18.69%138.85M | 18.69%138.85M | 17.93%179.83M | 22.53%241.98M | 28.74%288.19M | 42.36%116.99M | 42.36%116.99M |
Other current liabilities | ---- | ---- | -200.00%-1K | -150.00%-1K | -150.00%-1K | ---- | ---- | 0.00%1K | -100.00%2K | -100.00%2K |
Current liabilities | 28.50%742.34M | 16.31%762.65M | 32.26%895.56M | -0.72%566.04M | -0.72%566.04M | 8.12%577.69M | 20.36%655.71M | 29.97%677.11M | 42.97%570.14M | 42.97%570.14M |
Non current liabilities | ||||||||||
Long term debt and capital lease obligation | -6.87%96.05M | 24.52%131.36M | 29.61%105.72M | 36.23%106.14M | 36.23%106.14M | -28.94%103.13M | -39.06%105.49M | -50.09%81.57M | -42.31%77.91M | -42.31%77.91M |
-Long term debt | -24.76%49.26M | 36.58%89.88M | 40.14%62.97M | 56.53%64.62M | 56.53%64.62M | -38.35%65.47M | -50.53%65.81M | -64.10%44.94M | -57.05%41.28M | -57.05%41.28M |
-Long term capital lease obligation | 24.22%46.79M | 4.52%41.48M | 16.69%42.75M | 13.35%41.52M | 13.35%41.52M | -3.25%37.67M | -0.98%39.68M | -4.29%36.64M | -5.96%36.63M | -5.96%36.63M |
Long term accounts payable and other payables | 582.73%10.44M | 448.41%7.07M | 292.75%7.69M | -42.18%1.34M | -42.18%1.34M | -40.69%1.53M | -58.12%1.29M | 27.89%1.96M | 145.08%2.32M | 145.08%2.32M |
Non current deferred liabilities | 5.53%149.46M | -1.35%147.9M | -4.23%150.08M | -8.88%139.61M | -8.88%139.61M | -5.41%141.63M | 1.57%149.93M | 23.33%156.72M | 21.33%153.21M | 21.33%153.21M |
Other non current liabilities | 57.30%37.61M | 53.43%36.4M | 41.91%34.08M | 26.14%29.56M | 26.14%29.56M | 9.76%23.91M | 28.02%23.73M | 65.71%24.01M | 101.83%23.43M | 101.83%23.43M |
Total non current liabilities | 8.64%293.55M | 15.08%322.73M | 12.61%297.57M | 7.70%276.64M | 7.70%276.64M | -15.36%270.2M | -18.08%280.43M | -13.79%264.26M | -6.22%256.87M | -6.22%256.87M |
Total liabilities | 22.17%1.04B | 15.94%1.09B | 26.74%1.19B | 1.89%842.67M | 1.89%842.67M | -0.66%847.89M | 5.53%936.14M | 13.76%941.37M | 22.94%827.01M | 22.94%827.01M |
Shareholders'equity | ||||||||||
Share capital | 0.00%39.41M | 0.00%39.41M | 0.00%39.41M | 0.00%39.41M | 0.00%39.41M | 0.00%39.41M | 0.00%39.41M | 0.00%39.41M | -98.11%39.41M | -98.11%39.41M |
-common stock | 0.00%39.41M | 0.00%39.41M | 0.00%39.41M | 0.00%39.41M | 0.00%39.41M | 0.00%39.41M | 0.00%39.41M | 0.00%39.41M | 0.00%39.41M | 0.00%39.41M |
-Preferred stock | ---- | ---- | ---- | ---- | ---- | ---- | ---- | --0 | ---- | ---- |
Retained earnings | -14.89%232.8M | -18.21%208.99M | -20.22%192.14M | 31.05%297.38M | 31.05%297.38M | 32.90%273.52M | 32.42%255.53M | 34.05%240.82M | 112.73%226.92M | 112.73%226.92M |
Gains losses not affecting retained earnings | 215.73%2.65M | 330.90%3.67M | 743.07%3.02M | 1,130.17%2.39M | 1,130.17%2.39M | -54.10%839K | -46.00%851K | -279.69%-469K | 38.95%-232K | 38.95%-232K |
Total stockholders'equity | -12.40%274.86M | -14.78%252.07M | -16.16%234.56M | 27.47%339.18M | 27.47%339.18M | 27.01%313.77M | 26.43%295.79M | 27.56%279.76M | 137.71%266.1M | 137.71%266.1M |
Noncontrolling interests | -18.00%195.53M | -15.33%184.8M | -10.70%186.08M | 25.59%253.3M | 25.59%253.3M | 20.74%238.46M | 20.24%218.26M | 32.01%208.38M | -81.00%201.69M | -81.00%201.69M |
Total equity | -14.82%470.39M | -15.01%436.87M | -13.83%420.65M | 26.66%592.48M | 26.66%592.48M | 24.22%552.23M | 23.72%514.05M | 29.42%488.14M | 31.54%467.78M | 31.54%467.78M |
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