(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 | |
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Operating Cash Flow (Indirect Method) | ||||||||||
Cash flow from continuing operating activities | 9.80%19.8M | 31.96%11.71M | 518.34%10.65M | 132.95%41.33M | -29.00%12.7M | 16,644.04%18.03M | 179.06%8.88M | 153.58%1.72M | 24.14%17.74M | 2,803.90%17.89M |
Net income from continuing operations | 39.91%16.36M | 14.05%13.55M | 30.33%12.69M | 7.50%44.92M | 37.18%11.61M | -40.15%11.69M | 33.08%11.88M | 100.47%9.74M | 163.06%41.79M | 162.88%8.46M |
Operating gains losses | --0 | -101.89%-2K | 800.00%9K | 100.67%145K | 27.59%37K | 100.01%1K | 101.71%106K | 108.33%1K | -155,614.29%-21.8M | 0.00%29K |
Depreciation and amortization | 41.85%4.03M | 7.14%3.03M | 7.99%3M | -4.03%11.41M | 7.71%2.96M | 1.25%2.84M | -14.68%2.83M | -7.92%2.78M | 41.33%11.89M | 24.90%2.75M |
Deferred tax | -44.36%523K | -463.29%-287K | 208.44%591K | 117.32%816K | 106.67%342K | 17.79%940K | 38.60%79K | -23.86%-545K | -162.54%-4.71M | -125.18%-5.13M |
Other non cash items | 0.00%238K | 20.20%238K | -91.66%238K | -64.15%3.53M | -51.33%238K | -92.89%238K | --198K | --2.85M | --9.84M | --489K |
Change In working capital | -356.76%-2.89M | 11.61%-6.56M | 47.81%-7.39M | -7.39%-24.13M | -135.19%-3.68M | 109.47%1.12M | 23.61%-7.42M | -24.96%-14.16M | -111.48%-22.47M | 425.22%10.45M |
-Change in receivables | -336.17%-7.12M | 128.14%1.11M | 164.16%3.12M | 23.91%-12.11M | -260.69%-6.32M | 186.72%3.02M | 66.85%-3.94M | -8.87%-4.86M | -131.90%-15.91M | 571.79%3.93M |
-Change in inventory | 125.16%1.72M | 43.73%-3.6M | -22.82%-3.75M | 15.51%-16.57M | -162.08%-298K | -39.93%-6.82M | 13.43%-6.39M | 60.98%-3.05M | -336.05%-19.61M | 132.79%480K |
-Change in prepaid assets | -96.05%70K | 74.66%-258K | -99.47%-752K | 96.97%-21K | 50.86%-398K | 23.23%1.77M | -359.69%-1.02M | 77.98%-377K | -24.24%-692K | -1,925.00%-810K |
-Change in payables and accrued expense | -63.98%1.11M | 80.96%1.02M | 17.79%-2.77M | -96.60%665K | -90.12%383K | 723.20%3.09M | -95.82%562K | -280.05%-3.37M | 1,662.11%19.58M | 254.05%3.88M |
-Change in other current assets | -2,818.87%-1.44M | -77.39%690K | 114.11%261K | 143.92%1.56M | 133.26%302K | -85.56%53K | 192.15%3.05M | -700.65%-1.85M | -420.56%-3.55M | -20.58%-908K |
-Change in other current liabilities | ---- | ---- | ---- | 112.37%408K | ---- | ---- | ---- | ---- | -130.15%-3.3M | ---- |
-Change in other working capital | 18,433.33%2.78M | -1,792.02%-5.52M | -440.80%-3.5M | 92.06%1.94M | -68.76%2.24M | 100.26%15K | 133.89%326K | -230.18%-647K | -56.06%1.01M | 87.51%7.18M |
Cash from discontinued investing activities | ||||||||||
Operating cash flow | 9.80%19.8M | 31.96%11.71M | 518.34%10.65M | 132.95%41.33M | -29.00%12.7M | 16,644.04%18.03M | 179.06%8.88M | 153.58%1.72M | 24.14%17.74M | 2,803.90%17.89M |
Investing cash flow | ||||||||||
Cash flow from continuing investing activities | -6,979.61%-197.17M | -166.46%-7.38M | 20.44%-1.73M | -912.39%-10.49M | 7.02%-2.76M | -108.34%-2.79M | 55.09%-2.77M | 90.52%-2.18M | 101.27%1.29M | 96.95%-2.96M |
Net PPE purchase and sale | 23.41%-2.13M | 0.04%-2.77M | 20.44%-1.73M | -147.79%-10.49M | 7.02%-2.76M | -108.34%-2.79M | 55.09%-2.77M | 6.24%-2.18M | 515.53%21.94M | -180.95%-2.96M |
Net business purchase and sale | ---191.82M | ---- | ---- | --0 | --0 | --0 | ---- | ---- | 78.53%-20.65M | --0 |
Cash from discontinued investing activities | ||||||||||
Investing cash flow | -6,979.61%-197.17M | -166.46%-7.38M | 20.44%-1.73M | -912.39%-10.49M | 7.02%-2.76M | -108.34%-2.79M | 55.09%-2.77M | 90.52%-2.18M | 101.27%1.29M | 96.95%-2.96M |
Financing cash flow | ||||||||||
Cash flow from continuing financing activities | 1,361.38%176.78M | 114.23%1.04M | -205.68%-2.72M | -15.95%-30.02M | 45.74%-11.24M | 51.43%-14.02M | -246.66%-7.34M | -86.24%2.57M | -134.97%-25.89M | -127.76%-20.72M |
Net issuance payments of debt | 1,361.38%176.78M | 139.09%1.18M | -60.27%1.98M | -14.95%-23.06M | 31.22%-11.02M | 51.70%-14.02M | -160.51%-3.02M | -75.06%4.98M | -126.82%-20.06M | -121.41%-16.02M |
Proceeds from stock option exercised by employees | --0 | -90.72%53K | -50.46%54K | 74.36%680K | --0 | --0 | 2,619.05%571K | --109K | 140.74%390K | --212K |
Net other financing activities | --0 | 96.16%-188K | -88.38%-4.75M | -22.83%-7.64M | 95.36%-228K | --0 | -162,933.33%-4.89M | -94.15%-2.52M | -574.00%-6.22M | -2,587.98%-4.92M |
Cash from discontinued financing activities | ||||||||||
Financing cash flow | 1,361.38%176.78M | 114.23%1.04M | -205.68%-2.72M | -15.95%-30.02M | 45.74%-11.24M | 51.43%-14.02M | -246.66%-7.34M | -86.24%2.57M | -134.97%-25.89M | -127.76%-20.72M |
Net cash flow | ||||||||||
Beginning cash position | 216.16%16.73M | 74.87%11.37M | 18.24%5.26M | -59.96%4.45M | -35.84%6.38M | -5.11%5.29M | 78.07%6.5M | -59.96%4.45M | -54.13%11.12M | -69.97%9.94M |
Current changes in cash | -147.28%-583K | 537.51%5.38M | 193.10%6.21M | 111.98%822K | 77.60%-1.3M | -72.17%1.23M | -160.99%-1.23M | 128.20%2.12M | 47.71%-6.86M | 73.61%-5.8M |
Effect of exchange rate changes | 242.57%211K | -223.53%-21K | -47.69%-96K | -105.18%-10K | -40.58%186K | -111.43%-148K | 118.68%17K | -258.54%-65K | --193K | --313K |
End cash Position | 156.52%16.36M | 216.16%16.73M | 74.87%11.37M | 18.24%5.26M | 18.24%5.26M | -35.84%6.38M | -5.11%5.29M | 78.07%6.5M | -59.96%4.45M | -59.96%4.45M |
Free cash flow | 15.77%17.66M | 46.49%8.94M | 2,056.58%8.92M | 678.10%30.84M | -33.36%9.95M | 729.39%15.25M | 304.39%6.11M | 91.78%-456K | -55.45%3.96M | 3,072.91%14.92M |
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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