(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 | 97.92%532.4M | 36.26%559.6M | -17.16%265.5M | -17.16%265.5M | 13.50%270.7M | 70.58%269M | 448.33%410.7M | 121.34%320.5M | 121.34%320.5M | 128.89%238.5M |
-Cash and cash equivalents | 97.92%532.4M | 36.26%559.6M | -17.16%265.5M | -17.16%265.5M | 13.50%270.7M | 70.58%269M | 448.33%410.7M | 121.34%320.5M | 121.34%320.5M | 128.89%238.5M |
Receivables | -12.03%289.5M | 10.73%322.1M | -16.82%219M | -16.82%219M | -10.23%293M | 32.06%329.1M | 76.41%290.9M | 198.19%263.3M | 198.19%263.3M | 209.09%326.4M |
-Accounts receivable | 7.87%244.1M | 14.10%258.2M | -18.69%211M | -18.69%211M | -17.76%203.7M | 31.65%226.3M | 125.40%226.3M | 208.93%259.5M | 208.93%259.5M | 258.99%247.7M |
-Other receivables | -55.84%45.4M | -1.08%63.9M | 110.53%8M | 110.53%8M | 13.47%89.3M | 32.99%102.8M | 0.16%64.6M | -11.63%3.8M | -11.63%3.8M | 115.03%78.7M |
Inventory | 3.74%69.4M | -0.71%70.4M | -14.28%61.74M | -14.28%61.74M | -2.49%70.6M | -14.56%66.9M | 20.99%70.9M | 47.57%72.03M | 47.57%72.03M | 65.68%72.4M |
Prepaid assets | -1.61%12.2M | -63.12%9.7M | 46.43%15.19M | 46.43%15.19M | -6.47%13M | 31.91%12.4M | 265.28%26.3M | 84.41%10.37M | 84.41%10.37M | 239.02%13.9M |
Restricted cash | ---- | ---- | 147.25%45M | 147.25%45M | ---- | ---- | ---- | -66.48%18.2M | -66.48%18.2M | ---- |
Other current assets | ---- | ---- | 462.50%45K | 462.50%45K | ---- | ---- | ---- | 124.24%8K | 124.24%8K | ---- |
Total current assets | 33.09%915.9M | 20.41%961.8M | -6.55%691.29M | -6.55%691.29M | 3.67%675.1M | 22.06%688.2M | 124.45%798.8M | 103.60%739.71M | 103.60%739.71M | 147.32%651.2M |
Non current assets | ||||||||||
Net PPE | 17.39%2.54B | 23.43%2.54B | 16.35%2.17B | 16.35%2.17B | 12.65%2.12B | 16.94%2.16B | 5.23%2.06B | -4.88%1.87B | -4.88%1.87B | -4.03%1.89B |
-Gross PPE | 14.26%3.15B | 18.21%3.13B | 12.04%2.74B | 12.04%2.74B | 12.57%2.73B | 17.50%2.76B | 35.52%2.65B | -1.28%2.44B | -1.28%2.44B | 23.46%2.43B |
-Accumulated depreciation | -2.86%-611.8M | -0.08%-592M | 1.85%-567.7M | 1.85%-567.7M | -12.31%-606.8M | -19.58%-594.8M | ---591.5M | -12.40%-578.4M | -12.40%-578.4M | ---540.3M |
Goodwill and other intangible assets | 11.11%4M | 2.78%3.7M | 0.00%3.7M | 0.00%3.7M | 41.67%3.4M | --3.6M | --3.6M | --3.7M | --3.7M | --2.4M |
-Goodwill | 0.00%1.8M | 0.00%1.8M | 0.00%1.8M | 0.00%1.8M | -10.53%1.7M | --1.8M | --1.8M | --1.8M | --1.8M | --1.9M |
-Other intangible assets | 22.22%2.2M | 5.56%1.9M | 0.00%1.9M | 0.00%1.9M | 240.00%1.7M | --1.8M | --1.8M | --1.9M | --1.9M | --500K |
Investments and advances | --600K | -56.25%700K | -71.79%77K | -71.79%77K | -66.67%100K | --0 | 0.00%1.6M | -81.48%273K | -81.48%273K | -81.25%300K |
Long-term notes receivables | -2.17%4.5M | -2.17%4.5M | -1.03%4.52M | -1.03%4.52M | 0.00%4.6M | 0.00%4.6M | 0.00%4.6M | -1.02%4.57M | -1.02%4.57M | 0.00%4.6M |
Non current deferred assets | 0.00%300K | -40.00%300K | -22.16%432K | -22.16%432K | -33.33%400K | -50.00%300K | -16.67%500K | -14.75%555K | -14.75%555K | 0.00%600K |
Other non current assets | ---- | ---- | -268.18%-111K | -268.18%-111K | ---- | ---- | ---- | 57.14%66K | 57.14%66K | ---- |
Total non current assets | 17.36%2.55B | 23.26%2.55B | 16.24%2.18B | 16.24%2.18B | 12.62%2.13B | 16.97%2.17B | 5.39%2.07B | -4.74%1.87B | -4.74%1.87B | -3.96%1.89B |
Total assets | 21.15%3.47B | 22.46%3.51B | 9.79%2.87B | 9.79%2.87B | 10.33%2.81B | 18.15%2.86B | 23.69%2.86B | 12.15%2.61B | 12.15%2.61B | 13.86%2.55B |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Payables | 22.86%48.9M | -8.94%42.8M | -13.38%43.7M | -13.38%43.7M | 11.58%47.2M | -22.27%39.8M | 28.77%47M | 39.14%50.46M | 39.14%50.46M | 33.44%42.3M |
-accounts payable | 23.12%47.4M | -9.35%41.7M | -11.23%43.05M | -11.23%43.05M | 11.76%45.6M | -23.15%38.5M | 29.21%46M | 37.27%48.5M | 37.27%48.5M | 36.45%40.8M |
-Total tax payable | 15.38%1.5M | 10.00%1.1M | -66.72%650K | -66.72%650K | 6.67%1.6M | 18.18%1.3M | 11.11%1M | 110.23%1.95M | 110.23%1.95M | -16.67%1.5M |
Current provisions | -91.18%600K | -92.65%500K | -91.71%564K | -91.71%564K | 6.15%6.9M | -43.33%6.8M | -62.84%6.8M | -62.84%6.8M | -62.84%6.8M | -64.48%6.5M |
Current debt and capital lease obligation | -41.18%175M | 33.99%182.9M | 47.44%172.67M | 47.44%172.67M | 68.58%194.2M | 122.68%297.5M | 3.72%136.5M | -43.95%117.11M | -43.95%117.11M | -35.14%115.2M |
-Current debt | -41.18%175M | 33.99%182.9M | 47.44%172.67M | 47.44%172.67M | 68.58%194.2M | 122.68%297.5M | 3.72%136.5M | -43.95%117.11M | -43.95%117.11M | -35.14%115.2M |
Current deferred liabilities | 662.50%6.1M | 650.00%1.5M | 280.45%3.37M | 280.45%3.37M | -50.00%1.9M | --800K | --200K | --885K | --885K | --3.8M |
Other current liabilities | 40.99%57.1M | -26.52%37.4M | 45.14%45.2M | 45.14%45.2M | -13.25%39.3M | -24.58%40.5M | 45.01%50.9M | 115.05%31.14M | 115.05%31.14M | -8.85%45.3M |
Current liabilities | -25.35%287.7M | 9.82%265.1M | 28.64%265.5M | 28.64%265.5M | 35.85%289.5M | 53.85%385.4M | 8.98%241.4M | -32.81%206.39M | -32.81%206.39M | -23.15%213.1M |
Non current liabilities | ||||||||||
Long term debt and capital lease obligation | 26.49%1.08B | 22.91%1.12B | 4.36%886.9M | 4.36%886.9M | 1.53%893.8M | -5.98%856.2M | -4.29%913.6M | -8.27%849.82M | -8.27%849.82M | 2.03%880.3M |
-Long term debt | 26.49%1.08B | 22.91%1.12B | 4.36%886.9M | 4.36%886.9M | 1.53%893.8M | -5.98%856.2M | -4.29%913.6M | -8.27%849.82M | -8.27%849.82M | 2.03%880.3M |
Non current deferred liabilities | -47.83%2.4M | 6.82%4.7M | -41.14%3.58M | -41.14%3.58M | 7,400.00%7.5M | --4.6M | --4.4M | --6.08M | --6.08M | --100K |
Other non current liabilities | 20.69%3.5M | 68.97%4.9M | -0.76%3.02M | -0.76%3.02M | 0.00%3M | --2.9M | --2.9M | --3.04M | --3.04M | --3M |
Total non current liabilities | 24.78%1.13B | 21.90%1.18B | 3.82%938.67M | 3.82%938.67M | 2.25%949.5M | -4.92%908.9M | -3.37%966.1M | -6.95%904.11M | -6.95%904.11M | 2.27%928.6M |
Total liabilities | 9.85%1.42B | 19.49%1.44B | 8.43%1.2B | 8.43%1.2B | 8.52%1.24B | 7.29%1.29B | -1.13%1.21B | -13.16%1.11B | -13.16%1.11B | -3.68%1.14B |
Shareholders'equity | ||||||||||
Share capital | 25.00%1M | 25.00%1M | 4.74%862K | 4.74%862K | 0.00%800K | 0.00%800K | 0.00%800K | 1.35%823K | 1.35%823K | 0.00%800K |
-common stock | 25.00%1M | 25.00%1M | 4.74%862K | 4.74%862K | 0.00%800K | 0.00%800K | 0.00%800K | 1.35%823K | 1.35%823K | 0.00%800K |
Retained earnings | 17.20%1.53B | 10.13%1.6B | 6.51%1.38B | 6.51%1.38B | 10.61%1.31B | 28.71%1.31B | 59.66%1.45B | 44.28%1.3B | 44.28%1.3B | 30.97%1.19B |
Paid-in capital | -24.76%167.1M | 154.02%439.7M | 55.20%260M | 55.20%260M | 33.41%222M | 34.44%222.1M | 7.58%173.1M | 5.00%167.53M | 5.00%167.53M | 4.72%166.4M |
Less: Treasury stock | 0.00%4.2M | 0.00%4.2M | 0.00%4.24M | 0.00%4.24M | 0.00%4.2M | 0.00%4.2M | 0.00%4.2M | 0.00%4.24M | 0.00%4.24M | 0.00%4.2M |
Gains losses not affecting retained earnings | 848.21%344.2M | -15.76%26.2M | -36.25%25.14M | -36.25%25.14M | -30.56%35M | 1.97%36.3M | 17.36%31.1M | 1,252.28%39.43M | 1,252.28%39.43M | 509.76%50.4M |
Total stockholders'equity | 30.57%2.04B | 24.73%2.06B | 10.83%1.66B | 10.83%1.66B | 11.86%1.57B | 28.79%1.56B | 51.16%1.65B | 42.69%1.5B | 42.69%1.5B | 33.43%1.4B |
Noncontrolling interests | -47.37%1M | -41.67%1.4M | -14.98%2M | -14.98%2M | -20.83%1.9M | --1.9M | --2.4M | --2.35M | --2.35M | --2.4M |
Total equity | 30.48%2.04B | 24.63%2.07B | 10.79%1.67B | 10.79%1.67B | 11.81%1.57B | 28.95%1.57B | 51.38%1.66B | 42.91%1.5B | 42.91%1.5B | 33.66%1.4B |
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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