(Q3)Sep 28, 2024 | (Q2)Jun 29, 2024 | (Q1)Mar 30, 2024 | (FY)Dec 30, 2023 | (Q4)Dec 30, 2023 | (Q3)Sep 30, 2023 | (Q2)Jul 1, 2023 | (Q1)Apr 1, 2023 | (FY)Dec 31, 2022 | (Q4)Dec 31, 2022 | |
---|---|---|---|---|---|---|---|---|---|---|
Assets | ||||||||||
Current assets | ||||||||||
Cash, cash equivalents and short term investments | 16.17%200.48M | -2.26%163.14M | -2.17%169.2M | 9.51%203.04M | 9.51%203.04M | 3.82%172.57M | 7.98%166.91M | 15.53%172.95M | 4.61%185.41M | 4.61%185.41M |
-Cash and cash equivalents | 16.17%200.48M | -2.26%163.14M | -2.17%169.2M | 9.51%203.04M | 9.51%203.04M | 3.82%172.57M | 7.98%166.91M | 15.53%172.95M | 4.61%185.41M | 4.61%185.41M |
Receivables | 6.30%897.1M | 11.12%895.1M | 5.02%850.52M | 7.15%834.41M | 7.15%834.41M | 1.67%843.93M | -2.76%805.54M | 4.07%809.83M | 7.70%778.72M | 7.70%778.72M |
-Accounts receivable | 5.94%714.01M | 8.00%703.26M | 1.38%659.04M | 8.90%657.96M | 8.90%657.96M | 9.70%674M | 3.70%651.13M | 5.43%650.04M | 5.70%604.18M | 5.70%604.18M |
-Taxes receivable | ---- | ---- | ---- | --725K | --725K | ---- | ---- | ---- | --0 | --0 |
-Other receivables | 7.74%183.09M | 24.24%191.85M | 19.84%191.48M | 0.68%175.72M | 0.68%175.72M | -21.21%169.93M | -23.00%154.41M | -1.14%159.79M | 22.36%174.54M | 22.36%174.54M |
Inventory | -11.85%611.42M | -13.22%633.23M | -7.81%668.74M | -9.65%658.43M | -9.65%658.43M | -7.06%693.63M | -7.23%729.74M | -10.17%725.36M | -0.01%728.76M | -0.01%728.76M |
Other current assets | 0.89%98.17M | -7.43%92.56M | -15.14%91.11M | 4.63%91.75M | 4.63%91.75M | --97.3M | --99.99M | --107.37M | 4.84%87.7M | 4.84%87.7M |
Total current assets | -0.01%1.81B | -1.01%1.78B | -1.98%1.78B | 0.40%1.79B | 0.40%1.79B | -2.31%1.81B | -2.93%1.8B | -1.36%1.82B | 3.96%1.78B | 3.96%1.78B |
Non current assets | ||||||||||
Net PPE | 0.83%609M | 0.20%604.33M | 1.60%608.4M | 3.66%617.39M | 3.66%617.39M | 1.19%603.98M | -0.73%603.11M | -1.86%598.85M | -0.51%595.58M | -0.51%595.58M |
-Gross PPE | 5.06%1.55B | 4.08%1.52B | 4.75%1.52B | 5.59%1.51B | 5.59%1.51B | 3.52%1.48B | 0.84%1.46B | -0.18%1.45B | 0.78%1.43B | 0.78%1.43B |
-Accumulated depreciation | -7.99%-942.82M | -6.80%-920.03M | -6.97%-908.88M | -6.96%-895.85M | -6.96%-895.85M | -5.19%-873.08M | -1.97%-861.47M | -1.05%-849.62M | -1.71%-837.57M | -1.71%-837.57M |
Goodwill and other intangible assets | 0.39%778.3M | -15.08%772.76M | -15.13%775.73M | -14.49%783.65M | -14.49%783.65M | -14.93%775.27M | -2.58%910M | 4.21%914.04M | 3.68%916.48M | 3.68%916.48M |
-Goodwill | 0.22%636.43M | -15.32%630.23M | -15.08%629.89M | -14.45%632.96M | -14.45%632.96M | -12.84%635.02M | 0.34%744.27M | 4.81%741.74M | 4.42%739.86M | 4.42%739.86M |
-Other intangible assets | 1.16%141.88M | -14.00%142.53M | -15.36%145.84M | -14.68%150.69M | -14.68%150.69M | -23.27%140.25M | -13.83%165.73M | 1.70%172.3M | 0.71%176.62M | 0.71%176.62M |
Defined pension benefit | -11.64%37.72M | -21.35%33.85M | -19.91%33.43M | -36.39%15.4M | -36.39%15.4M | --42.68M | --43.05M | --41.74M | --24.22M | --24.22M |
Other non current assets | 3.05%264.65M | 1.84%262.23M | 14.46%268.25M | 13.84%273.37M | 13.84%273.37M | -2.51%256.82M | -6.86%257.5M | -7.57%234.37M | -4.69%240.14M | -4.69%240.14M |
Total non current assets | 0.65%1.69B | -7.75%1.67B | -5.77%1.69B | -4.87%1.69B | -4.87%1.69B | -5.24%1.68B | -0.24%1.81B | 2.76%1.79B | 2.42%1.78B | 2.42%1.78B |
Total assets | 0.31%3.5B | -4.39%3.46B | -3.86%3.47B | -2.24%3.48B | -2.24%3.48B | -3.74%3.49B | -1.60%3.62B | 0.64%3.6B | 3.18%3.56B | 3.18%3.56B |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Payables | 6.33%393.97M | 1.18%386.25M | -12.83%349.82M | -1.41%370.44M | -1.41%370.44M | -7.11%370.53M | -6.95%381.76M | -4.95%401.3M | 4.82%375.72M | 4.82%375.72M |
-accounts payable | -0.58%353.88M | 2.23%353.73M | -11.17%327.41M | -0.56%358.31M | -0.56%358.31M | -5.46%355.93M | -10.94%346M | -8.86%368.58M | 3.59%360.31M | 3.59%360.31M |
-Total tax payable | 1,261.11%28.07M | -11.77%20.43M | -48.76%10.3M | --0 | --0 | -80.67%2.06M | 130.69%23.15M | 230.80%20.09M | --3.66M | --3.66M |
-Dividends payable | -4.09%12.02M | -4.04%12.1M | -4.12%12.11M | 3.26%12.13M | 3.26%12.13M | 6.82%12.53M | 7.36%12.61M | 7.79%12.63M | 10.61%11.74M | 10.61%11.74M |
Current accrued expenses | 6.41%155.02M | 6.22%139.52M | 14.13%149.22M | 18.50%146.9M | 18.50%146.9M | 6.85%145.67M | 0.95%131.34M | 10.30%130.75M | 13.97%123.97M | 13.97%123.97M |
Current debt and capital lease obligation | -59.83%1.84M | -9.65%2.45M | -78.98%2.65M | -44.26%3.92M | -44.26%3.92M | -34.95%4.58M | -63.66%2.71M | -0.04%12.6M | -61.58%7.04M | -61.58%7.04M |
-Current debt | -59.83%1.84M | -9.65%2.45M | -78.98%2.65M | -44.26%3.92M | -44.26%3.92M | -34.95%4.58M | -63.66%2.71M | -0.04%12.6M | -61.58%7.04M | -61.58%7.04M |
Current deferred liabilities | 13.04%100.15M | -44.61%68.81M | -46.24%84.04M | -58.95%70.98M | -58.95%70.98M | -55.78%88.6M | -29.34%124.23M | -7.38%156.33M | 27.38%172.92M | 27.38%172.92M |
Current liabilities | 6.27%770.05M | -5.89%705.03M | -13.63%674.83M | -10.06%723.1M | -10.06%723.1M | -16.54%724.58M | -9.82%749.19M | -4.56%781.35M | 4.98%803.99M | 4.98%803.99M |
Non current liabilities | ||||||||||
Long term debt and capital lease obligation | -7.94%1.05B | 5.14%1.17B | 11.27%1.26B | 23.79%1.27B | 23.79%1.27B | 4.19%1.14B | -3.12%1.11B | 2.46%1.14B | -6.25%1.03B | -6.25%1.03B |
-Long term debt | -8.09%898.2M | 6.81%1.02B | 12.38%1.11B | 27.21%1.11B | 27.21%1.11B | 4.51%977.26M | -4.31%952.7M | 2.34%985.64M | -8.04%870.94M | -8.04%870.94M |
-Long term capital lease obligation | -7.02%149.25M | -4.67%154.25M | 4.01%157.28M | 4.68%162.74M | 4.68%162.74M | 2.33%160.52M | 4.52%161.8M | 3.23%151.22M | 5.22%155.47M | 5.22%155.47M |
Non current deferred liabilities | -19.69%41.51M | -30.14%51.23M | -24.78%59.66M | -24.62%53.83M | -24.62%53.83M | -33.13%51.69M | -18.00%73.33M | -8.92%79.31M | -14.20%71.41M | -14.20%71.41M |
Other non current liabilities | 272.72%50.01M | 33.96%11.42M | 36.31%11.7M | -4.91%12.82M | -4.91%12.82M | 16.66%13.42M | -83.27%8.53M | -86.09%8.58M | -84.98%13.48M | -84.98%13.48M |
Total non current liabilities | -5.31%1.14B | 3.18%1.23B | 9.11%1.34B | 20.34%1.34B | 20.34%1.34B | 1.87%1.2B | -7.32%1.2B | -2.67%1.22B | -12.34%1.11B | -12.34%1.11B |
Total liabilities | -0.96%1.91B | -0.31%1.94B | 0.25%2.01B | 7.58%2.06B | 7.58%2.06B | -5.93%1.93B | -8.30%1.95B | -3.41%2.01B | -5.82%1.92B | -5.82%1.92B |
Shareholders'equity | ||||||||||
Share capital | 0.00%27.9M | 0.00%27.9M | 0.00%27.9M | 0.00%27.9M | 0.00%27.9M | 0.00%27.9M | 0.00%27.9M | 0.00%27.9M | 0.00%27.9M | 0.00%27.9M |
-common stock | 0.00%27.9M | 0.00%27.9M | 0.00%27.9M | 0.00%27.9M | 0.00%27.9M | 0.00%27.9M | 0.00%27.9M | 0.00%27.9M | 0.00%27.9M | 0.00%27.9M |
Retained earnings | 8.31%2.88B | 3.56%2.81B | 3.18%2.72B | 1.95%2.64B | 1.95%2.64B | 3.41%2.66B | 8.02%2.71B | 7.80%2.64B | 8.30%2.59B | 8.30%2.59B |
Paid-in capital | --9.72M | --5.14M | --5.67M | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
Less: Treasury stock | 21.08%1.09B | 21.16%1.05B | 22.29%1.05B | 36.44%1.04B | 36.44%1.04B | 17.11%901.7M | 13.80%870.46M | 11.36%857.3M | -1.10%765.18M | -1.10%765.18M |
Gains losses not affecting retained earnings | -0.19%-282.16M | -22.78%-313.83M | -10.93%-295.21M | 0.61%-273.24M | 0.61%-273.24M | 14.17%-281.63M | 11.31%-255.6M | -14.63%-266.13M | -4.48%-274.91M | -4.48%-274.91M |
Total stockholders'equity | 2.66%1.54B | -8.73%1.47B | -8.49%1.41B | -14.33%1.35B | -14.33%1.35B | -0.73%1.5B | 8.32%1.61B | 4.34%1.54B | 13.99%1.58B | 13.99%1.58B |
Noncontrolling interests | -19.06%46.11M | -20.35%46.25M | -22.85%44.98M | 3.17%62.79M | 3.17%62.79M | -5.08%56.97M | -10.34%58.07M | 105.01%58.3M | 127.53%60.87M | 127.53%60.87M |
Total equity | 1.87%1.59B | -9.13%1.52B | -9.02%1.45B | -13.68%1.42B | -13.68%1.42B | -0.89%1.56B | 7.54%1.67B | 6.24%1.6B | 16.14%1.64B | 16.14%1.64B |
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 |
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