(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 | |
---|---|---|---|---|---|---|---|---|---|---|
Operating cash flow (Indirect Method) | ||||||||||
Cash flow from continuing operating activities | -46.75%123.65M | -26.90%112.37M | 3,210.38%56.14M | -38.59%472.6M | -41.17%84.98M | 5.89%232.22M | -26.72%153.71M | -99.13%1.7M | 44.09%769.55M | -15.88%144.45M |
Net income from continuing operations | 13.56%109.64M | 12.47%101.35M | 19.28%110.26M | -18.92%350.02M | -29.20%70.92M | 9.73%96.55M | -34.49%90.11M | -12.76%92.44M | 22.28%431.68M | 27.62%100.17M |
Operating gains losses | -422.33%-11.46M | 186.01%12.59M | -1,158.57%-33.73M | 93.83%-3.01M | 247.01%4.89M | 195.54%3.56M | 73.13%-14.64M | -74.94%3.19M | -110.56%-48.81M | -109.59%-3.32M |
Depreciation and amortization | -10.79%12.95M | -9.42%13.29M | -10.21%13.82M | 8.70%58.72M | -0.87%14.15M | 7.05%14.51M | 12.52%14.68M | 17.00%15.39M | -3.09%54.02M | 1.86%14.27M |
Deferred tax | 106.98%55K | 43.83%-3.82M | 21.22%-3.04M | -224.02%-20.44M | -37,608.33%-9M | 88.61%-788K | -522.78%-6.79M | -276.83%-3.86M | 50.42%-6.31M | 100.26%24K |
Other non cashItems | -109.43%-172K | 152.66%950K | -36.67%639K | -87.90%127K | -164.66%-902K | 206.92%1.82M | -2,222.35%-1.8M | -20.92%1.01M | -90.46%1.05M | -67.66%1.4M |
Change in working capital | -118.86%-18.32M | -191.76%-40.13M | 63.34%-53.48M | -106.83%-15.84M | -248.46%-10.85M | 6.44%97.16M | -45.79%43.73M | -376.57%-145.88M | 321.80%232M | -69.76%7.31M |
-Change in receivables | 205.58%19.22M | -89.30%-16.66M | -96.22%289K | 46.63%-31.08M | 66.98%-11.71M | -104.92%-18.21M | 50.36%-8.8M | 98.06%7.65M | -1,369.28%-58.22M | -327.10%-35.47M |
-Change in payables and accrued expense | -43.94%34.45M | -143.96%-21.16M | 53.20%-14.97M | 1,447.47%148.15M | 156.43%70.58M | 105.37%61.44M | 1,086.93%48.13M | 55.87%-31.99M | 78.75%-11M | 197.67%27.52M |
-Change in other working capital | -233.49%-71.99M | -152.41%-2.31M | 68.08%-38.8M | -144.13%-132.92M | -557.17%-69.71M | -23.24%53.93M | -95.34%4.4M | -200.13%-121.54M | 194.86%301.22M | -34.32%15.25M |
Cash from discontinued operating activities | ||||||||||
Operating cash flow | -46.75%123.65M | -26.90%112.37M | 3,210.38%56.14M | -38.59%472.6M | -41.17%84.98M | 5.89%232.22M | -26.72%153.71M | -99.13%1.7M | 44.09%769.55M | -15.88%144.45M |
Investing cash flow | ||||||||||
Cash flow from continuing investing activities | -306.99%-588.3M | -180.03%-1.11B | 479.15%158.39M | 66.89%-1.27B | 26.45%-689.09M | 62.83%-144.55M | 76.67%-397.86M | 94.87%-41.78M | 9.21%-3.85B | 56.87%-936.96M |
Proceeds payment in interest bearing deposits in bank | 34.20%-14.17M | -124.16%-2.04M | -115.90%-8.21M | 416.37%43.36M | -30.81%4.81M | 63.65%-21.54M | -65.14%8.45M | 259.45%51.65M | -291.79%-13.71M | 319.04%6.95M |
Net investment purchase and sale | 79.46%384.9M | -316.39%-475.98M | 410.85%571.79M | 124.36%156.15M | -324.06%-390.23M | -18.06%214.48M | 131.40%219.96M | 129.73%111.93M | 81.41%-640.93M | 113.14%174.16M |
Net proceeds payment for loan | -99.26%-802.62M | 15.68%-565.32M | 54.27%-359.62M | 45.37%-2.16B | 73.95%-299.48M | 55.87%-402.79M | 47.66%-670.43M | -29.16%-786.43M | -253.59%-3.95B | -62.12%-1.15B |
Net PPE purchase and sale | 32.20%-4.3M | -69.48%-5.69M | 101.70%159K | 48.64%-23.1M | 76.29%-4.05M | 64.15%-6.34M | 26.50%-3.36M | -64.99%-9.36M | -51.02%-44.99M | -58.80%-17.07M |
Net business purchase and sale | ---340K | 362.67%2.08M | ---110.79M | -100.14%-793K | --0 | --0 | 89.93%-793K | --0 | 2,876.64%548.62M | --290.86M |
Net other investing changes | ---- | ---- | ---- | ---3M | ---- | ---- | ---- | ---- | ---- | ---- |
Cash from discontinued investing activities | ||||||||||
Investing cash flow | -306.99%-588.3M | -180.03%-1.11B | 479.15%158.39M | 66.89%-1.27B | 26.45%-689.09M | 62.83%-144.55M | 76.67%-397.86M | 94.87%-41.78M | 9.21%-3.85B | 56.87%-936.96M |
Financing cash flow | ||||||||||
Cash flow from continuing financing activities | 2,626.78%2.73B | -300.93%-925.2M | -40.15%1.2B | 204.15%4.77B | 548.82%2.21B | 57.03%99.95M | 114.97%460.46M | 205.03%2.01B | -148.64%-4.58B | -93.32%339.87M |
Change in federal funds and securities sold for repurchase | 33.87%-193.74M | 92.34%-8.44M | 272.48%105.83M | 89.91%-102.52M | 493.52%362.04M | 15.60%-292.98M | 38.51%-110.23M | 84.58%-61.36M | -210.11%-1.02B | -112.46%-92M |
Increase decrease in deposit | 3,690.42%3.19B | -124.93%-396.04M | 258.47%1.12B | 188.33%3.15B | 425.01%2.36B | -127.69%-88.71M | 155.37%1.59B | 51.95%-707.23M | -141.77%-3.57B | -89.70%449.72M |
Net issuance payments of debt | -150.00%-250M | 50.00%-500M | --0 | 1,536.36%1.8B | ---500M | 354.55%500M | ---1B | --2.8B | --110M | --0 |
Net commonstock issuance | 675.26%1.12M | ---1.32M | 4.62%-7.54M | 73.85%-8.37M | -41.88%-271K | ---194K | --0 | 64.86%-7.9M | -481.13%-32M | 84.56%-191K |
Cash dividends paid | -3.36%-19.06M | -5.92%-19.53M | -3.15%-19.01M | -3.08%-74.25M | -3.10%-18.93M | -3.16%-18.44M | -3.17%-18.44M | -2.87%-18.43M | -7.91%-72.03M | -2.40%-18.36M |
Proceeds from stock option exercised by employees | 1,117.04%3.29M | -77.17%129K | -34.95%281K | 15.22%2.46M | 49.25%1.19M | -12.05%270K | 36.47%565K | -29.76%432K | -88.79%2.14M | -81.27%800K |
Net other financing activities | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---2.13M | ---97K |
Cash from discontinued financing activities | ||||||||||
Financing cash flow | 2,626.78%2.73B | -300.93%-925.2M | -40.15%1.2B | 204.15%4.77B | 548.82%2.21B | 57.03%99.95M | 114.97%460.46M | 205.03%2.01B | -148.64%-4.58B | -93.32%339.87M |
Net cash flow | ||||||||||
Beginning cash position | 34.14%5.02B | 97.06%6.94B | 254.86%5.53B | -83.09%1.56B | 95.33%3.93B | 76.69%3.74B | -47.31%3.52B | -83.09%1.56B | 163.46%9.21B | -67.19%2.01B |
Current changes in cash | 1,104.94%2.26B | -990.83%-1.93B | -28.01%1.41B | 151.86%3.97B | 453.71%1.6B | 277.05%187.61M | 104.73%216.31M | 177.75%1.97B | -233.93%-7.66B | -114.67%-452.64M |
End cash position | 85.29%7.28B | 34.14%5.02B | 97.06%6.94B | 254.86%5.53B | 254.86%5.53B | 95.33%3.93B | 76.69%3.74B | -47.31%3.52B | -83.09%1.56B | -83.09%1.56B |
Free cash flow | -47.97%117.69M | -26.96%106.68M | 795.40%53.77M | -37.91%445.69M | -36.10%81.2M | 12.06%226.18M | -27.52%146.05M | -104.13%-7.73M | 43.45%717.84M | -19.95%127.08M |
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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