(FY)Sep 30, 2024 | (Q4)Sep 30, 2024 | (Q3)Jun 30, 2024 | (Q2)Mar 31, 2024 | (Q1)Dec 31, 2023 | (FY)Sep 30, 2023 | (Q4)Sep 30, 2023 | (Q3)Jun 30, 2023 | (Q2)Mar 31, 2023 | (Q1)Dec 31, 2022 | |
---|---|---|---|---|---|---|---|---|---|---|
Assets | ||||||||||
Current assets | ||||||||||
Cash, cash equivalents and short term investments | -17.84%276.4M | -17.84%276.4M | -18.96%289.42M | -24.33%293.34M | -29.08%311.14M | -33.38%336.41M | -33.38%336.41M | -32.31%357.15M | -32.45%387.66M | 45.34%438.71M |
-Cash and cash equivalents | -21.00%226.32M | -21.00%226.32M | -22.22%239.14M | -22.79%243.35M | -15.92%266.27M | -24.35%286.47M | -24.35%286.47M | -18.28%307.46M | -22.68%315.2M | 65.26%316.68M |
-Short-term investments | 0.28%50.08M | 0.28%50.08M | 1.19%50.28M | -31.01%49.99M | -63.23%44.88M | -60.45%49.94M | -60.45%49.94M | -67.17%49.69M | -56.41%72.46M | 10.70%122.03M |
Receivables | -20.79%34.9M | -20.79%34.9M | -24.88%31.99M | -25.31%35.99M | -20.44%35.35M | 9.36%44.06M | 9.36%44.06M | 3.36%42.58M | 38.16%48.19M | 35.18%44.44M |
-Accounts receivable | -20.79%34.9M | -20.79%34.9M | -14.18%31.99M | -16.69%35.99M | -10.28%35.35M | 9.36%44.06M | 9.36%44.06M | 1.80%37.27M | 50.67%43.2M | 43.95%39.41M |
-Other receivables | ---- | ---- | ---- | ---- | ---- | ---- | ---- | 17.04%5.57M | -16.39%5.31M | -9.94%5.25M |
-Recievables adjustments allowances | ---- | ---- | ---- | ---- | ---- | ---- | ---- | -47.75%-263K | -115.03%-329K | 34.12%-222K |
Inventory | -24.90%24.08M | -24.90%24.08M | -21.65%28.48M | -23.91%30.38M | -30.80%30.86M | -18.43%32.06M | -18.43%32.06M | -15.50%36.35M | -10.47%39.92M | 10.83%44.6M |
Other current assets | -2.73%11.4M | -2.73%11.4M | 26.25%11.94M | -9.96%12.16M | -8.82%12.87M | -1.66%11.72M | -1.66%11.72M | -23.16%9.46M | 22.21%13.5M | 40.63%14.12M |
Total current assets | -18.26%346.78M | -18.26%346.78M | -18.79%361.83M | -24.00%371.87M | -27.98%390.23M | -28.87%424.26M | -28.87%424.26M | -28.61%445.54M | -26.36%489.27M | 40.74%541.86M |
Non current assets | ||||||||||
Net PPE | -20.66%161.35M | -20.66%161.35M | -21.24%167.62M | -14.83%185.01M | -10.65%195.32M | -5.14%203.36M | -5.14%203.36M | 4.74%212.81M | 27.75%217.21M | 59.39%218.61M |
-Gross PPE | -6.70%236.99M | -6.70%236.99M | -7.82%238.25M | -3.50%249.54M | -0.54%252.92M | 3.19%254.02M | 3.19%254.02M | 27.21%258.47M | 52.08%258.58M | 85.41%254.3M |
-Accumulated depreciation | -49.33%-75.64M | -49.33%-75.64M | -54.69%-70.63M | -55.97%-64.53M | -61.41%-57.61M | -59.41%-50.66M | -59.41%-50.66M | ---45.66M | ---41.37M | ---35.69M |
Goodwill and other intangible assets | -28.52%100.29M | -28.52%100.29M | -28.98%100.55M | -3.62%137.71M | -3.59%139M | -3.61%140.29M | -3.61%140.29M | -3.63%141.59M | -3.57%142.88M | -2.69%144.17M |
-Goodwill | 0.00%85.81M | 0.00%85.81M | 0.00%85.81M | 0.00%85.81M | 0.00%85.81M | 0.00%85.81M | 0.00%85.81M | 0.00%85.81M | 0.16%85.81M | 1.86%85.81M |
-Other intangible assets | -73.43%14.48M | -73.43%14.48M | -73.57%14.74M | -9.06%51.9M | -8.86%53.19M | -8.80%54.48M | -8.80%54.48M | -8.74%55.78M | -8.68%57.07M | -8.70%58.36M |
Other non current assets | -30.42%5.91M | -30.42%5.91M | -21.96%8.12M | 80.97%8.26M | 55.01%8.27M | 71.31%8.49M | 71.31%8.49M | 91.09%10.4M | -15.33%4.57M | -10.33%5.33M |
Total non current assets | -24.02%267.55M | -24.02%267.55M | -24.26%276.29M | -9.24%330.98M | -6.93%342.58M | -3.49%352.15M | -3.49%352.15M | 2.60%364.8M | 2.07%364.65M | -8.24%368.11M |
Total assets | -20.88%614.32M | -20.88%614.32M | -21.25%638.12M | -17.69%702.85M | -19.47%732.82M | -19.24%776.4M | -19.24%776.4M | -17.28%810.33M | -16.42%853.92M | 15.75%909.97M |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Payables | -76.36%4.36M | -76.36%4.36M | -51.70%8.97M | -46.78%9.81M | -47.84%12.45M | -22.43%18.43M | -22.43%18.43M | -37.91%18.57M | -30.63%18.43M | -31.85%23.87M |
-accounts payable | -88.40%1.63M | -88.40%1.63M | -45.62%6.63M | -41.80%7.7M | -53.98%9.26M | -30.06%14.05M | -30.06%14.05M | -42.02%12.18M | -21.28%13.24M | -12.83%20.11M |
-Total tax payable | -37.70%2.73M | -37.70%2.73M | -63.31%2.34M | -59.46%2.11M | -15.00%3.2M | 19.48%4.37M | 19.48%4.37M | 65.83%6.39M | 44.73%5.19M | 18.83%3.76M |
Current accrued expenses | 40.45%15.1M | 40.45%15.1M | 43.90%14.84M | 30.09%14.51M | 34.25%13.96M | 5.75%10.75M | 5.75%10.75M | -65.65%10.31M | -63.18%11.16M | -45.55%10.4M |
Current debt and capital lease obligation | -0.61%14.81M | -0.61%14.81M | 10.84%14.56M | 9.14%14.62M | 4.08%14.81M | 9.19%14.9M | 9.19%14.9M | -8.50%13.13M | -5.44%13.4M | 12.16%14.23M |
-Current capital lease obligation | -0.61%14.81M | -0.61%14.81M | 10.84%14.56M | 9.14%14.62M | 4.08%14.81M | 9.19%14.9M | 9.19%14.9M | -8.50%13.13M | -5.44%13.4M | 12.16%14.23M |
Current deferred liabilities | -28.94%2.13M | -28.94%2.13M | -2.07%2.94M | 30.76%2.54M | -28.21%2.64M | -13.72%3M | -13.72%3M | --3M | --1.94M | --3.68M |
Other current liabilities | 123.49%961K | 123.49%961K | 52.20%796K | -72.72%792K | -93.11%577K | -96.59%430K | -96.59%430K | -96.79%523K | -76.65%2.9M | -21.64%8.38M |
Current liabilities | -3.16%71.01M | -3.16%71.01M | 1.28%73.76M | -6.40%67.49M | -22.20%65.23M | -19.13%73.32M | -19.13%73.32M | -21.43%72.82M | -14.80%72.11M | 4.75%83.84M |
Non current liabilities | ||||||||||
Long term debt and capital lease obligation | -11.31%70.22M | -11.31%70.22M | -9.11%72.63M | -3.88%74.8M | -3.36%77.07M | -2.58%79.17M | -2.58%79.17M | 24.37%79.9M | 18.82%77.82M | 32.28%79.75M |
-Long term capital lease obligation | -11.31%70.22M | -11.31%70.22M | -9.11%72.63M | -3.88%74.8M | -3.36%77.07M | -2.58%79.17M | -2.58%79.17M | 24.37%79.9M | 18.82%77.82M | 32.28%79.75M |
Other non current liabilities | -14.32%407K | -14.32%407K | 895.00%597K | 601.67%421K | 691.67%475K | 691.67%475K | 691.67%475K | -97.08%60K | -99.26%60K | -99.69%60K |
Total non current liabilities | -11.32%70.63M | -11.32%70.63M | -8.43%73.22M | -3.41%75.23M | -2.84%77.55M | -2.07%79.65M | -2.07%79.65M | 20.60%79.96M | 5.76%77.88M | -0.18%79.81M |
Total liabilities | -7.41%141.63M | -7.41%141.63M | -3.80%146.98M | -4.85%142.72M | -12.75%142.77M | -11.06%152.97M | -11.06%152.97M | -3.90%152.78M | -5.23%149.99M | 2.29%163.65M |
Shareholders'equity | ||||||||||
Share capital | --0 | --0 | --0 | --0 | --0 | --0 | --0 | --0 | --0 | --0 |
-common stock | --0 | --0 | --0 | --0 | --0 | --0 | --0 | --0 | --0 | --0 |
Retained earnings | -20.22%-1.24B | -20.22%-1.24B | -22.34%-1.21B | -20.69%-1.12B | -23.67%-1.08B | -24.70%-1.03B | -24.70%-1.03B | -26.95%-986.79M | -29.66%-929.4M | -32.64%-870.24M |
Paid-in capital | 3.49%1.72B | 3.49%1.72B | 3.29%1.7B | 3.02%1.68B | 3.07%1.67B | 2.32%1.66B | 2.32%1.66B | 2.85%1.64B | 3.33%1.63B | 26.15%1.62B |
Gains losses not affecting retained earnings | 30.95%-522K | 30.95%-522K | -15.75%-735K | -694.59%-660K | 7.22%-565K | 58.98%-756K | 58.98%-756K | 53.89%-635K | 123.37%111K | -267.77%-609K |
Total stockholders'equity | -24.18%472.69M | -24.18%472.69M | -25.31%491.14M | -20.43%560.13M | -20.94%590.04M | -21.02%623.43M | -21.02%623.43M | -19.88%657.55M | -18.47%703.93M | 19.19%746.33M |
Total equity | -24.18%472.69M | -24.18%472.69M | -25.31%491.14M | -20.43%560.13M | -20.94%590.04M | -21.02%623.43M | -21.02%623.43M | -19.88%657.55M | -18.47%703.93M | 19.19%746.33M |
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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