(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 | -19.93%7.42M | -20.43%7.74M | -18.57%8.38M | -18.57%8.38M | -19.07%8.78M | -24.77%9.27M | -29.53%9.73M | -29.59%10.3M | -29.59%10.3M | -32.16%10.85M |
-Cash and cash equivalents | 83.19%7.42M | 63.96%7.74M | -19.15%4.28M | -19.15%4.28M | -37.02%3.67M | -67.12%4.05M | -65.80%4.72M | -63.78%5.3M | -63.78%5.3M | -63.53%5.83M |
-Short-term investments | --0 | --0 | -17.96%4.1M | -17.96%4.1M | 1.81%5.11M | --5.22M | --5.01M | --5M | --5M | --5.02M |
Receivables | 23.16%117K | -18.45%137K | 2,500.00%234K | 2,500.00%234K | -31.72%211K | -43.79%95K | 112.66%168K | -85.00%9K | -85.00%9K | 322.58%309K |
-Accounts receivable | --14K | --20K | --202K | --202K | ---- | ---- | ---- | --0 | --0 | ---- |
-Taxes receivable | ---- | ---- | 150.00%15K | 150.00%15K | ---- | ---- | ---- | -76.92%6K | -76.92%6K | ---- |
-Other receivables | 8.42%103K | -30.36%117K | 466.67%17K | 466.67%17K | -31.72%211K | -43.79%95K | --168K | -91.18%3K | -91.18%3K | --309K |
Prepaid assets | ---- | ---- | -50.00%76K | -50.00%76K | ---- | ---- | ---- | -53.80%152K | -53.80%152K | ---- |
Restricted cash | 0.00%61K | 256.45%221K | 0.00%63K | 0.00%63K | -19.18%59K | -17.57%61K | -10.14%62K | -10.00%63K | -10.00%63K | 8.05%73K |
Total current assets | -19.37%7.6M | -18.67%8.1M | -16.76%8.76M | -16.76%8.76M | -19.42%9.05M | -24.99%9.42M | -29.66%9.96M | -30.25%10.52M | -30.25%10.52M | -30.90%11.23M |
Non current assets | ||||||||||
Net PPE | -21.73%634K | -20.76%687K | -18.24%726K | -18.24%726K | 3.03%747K | -4.71%810K | -29.40%867K | -31.48%888K | -31.48%888K | -45.97%725K |
-Gross PPE | -21.73%634K | -20.76%687K | 0.40%1.24M | 0.40%1.24M | 3.03%747K | -4.71%810K | -29.40%867K | -32.66%1.24M | -32.66%1.24M | -45.97%725K |
-Accumulated depreciation | ---- | ---- | -47.85%-516K | -47.85%-516K | ---- | ---- | ---- | 35.49%-349K | 35.49%-349K | ---- |
Investments and advances | -5.22%490K | 4.27%513K | 3.33%527K | 3.33%527K | 28.50%496K | 27.97%517K | 87.07%492K | 87.50%510K | 87.50%510K | 156.77%386K |
Total non current assets | -15.30%1.12M | -11.70%1.2M | -10.37%1.25M | -10.37%1.25M | 11.88%1.24M | 5.82%1.33M | -8.85%1.36M | -10.78%1.4M | -10.78%1.4M | -25.54%1.11M |
Total assets | -18.86%8.72M | -17.83%9.3M | -16.01%10.01M | -16.01%10.01M | -16.60%10.3M | -22.19%10.75M | -27.68%11.32M | -28.41%11.92M | -28.41%11.92M | -30.45%12.34M |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Payables | 11.19%1.07M | -93.89%54K | -4.62%289K | -4.62%289K | -86.62%87K | 19.28%965K | 80.41%884K | 136.72%303K | 136.72%303K | 43.73%650K |
-accounts payable | 65.00%66K | -15.63%54K | -33.33%50K | -33.33%50K | -5.43%87K | -25.93%40K | -16.88%64K | 63.04%75K | 63.04%75K | -31.33%92K |
-Other payable | 8.86%1.01M | ---- | 4.82%239K | 4.82%239K | ---- | 22.52%925K | 98.55%820K | 178.05%228K | 178.05%228K | 75.33%558K |
Current accrued expenses | ---- | --1.02M | 42.18%718K | 42.18%718K | --879K | ---- | ---- | 17.99%505K | 17.99%505K | ---- |
Current debt and capital lease obligation | -1.49%1.12M | 3.16%1.11M | 6.85%1.12M | 6.85%1.12M | -7.51%1.12M | -8.87%1.14M | -11.80%1.08M | 202.88%1.05M | 202.88%1.05M | 282.46%1.21M |
-Current debt | 3.43%1.09M | 6.40%1.05M | 6.47%1.04M | 6.47%1.04M | -11.80%1.03M | -9.64%1.05M | -12.14%984K | 342.27%973K | 342.27%973K | 435.67%1.17M |
-Current capital lease obligation | -58.24%38K | -31.52%63K | 11.54%87K | 11.54%87K | 109.30%90K | 1.11%91K | -8.00%92K | -38.58%78K | -38.58%78K | -56.42%43K |
Current liabilities | 4.32%2.2M | 11.28%2.18M | 14.58%2.13M | 14.58%2.13M | 12.08%2.09M | 2.18%2.11M | 3.87%1.96M | 105.87%1.86M | 105.87%1.86M | 99.62%1.86M |
Non current liabilities | ||||||||||
Long term debt and capital lease obligation | -58.33%45K | -54.60%74K | -57.61%78K | -57.61%78K | -4.65%82K | 20.00%108K | 26.36%163K | -81.80%184K | -81.80%184K | -91.85%86K |
-Long term debt | -34.78%45K | -25.25%74K | -18.75%78K | -18.75%78K | -22.09%67K | -23.33%69K | -23.26%99K | -90.50%96K | -90.50%96K | -91.46%86K |
-Long term capital lease obligation | ---- | ---- | --0 | --0 | --15K | --39K | --64K | --88K | --88K | ---- |
Other non current liabilities | ---- | ---- | ---- | ---- | ---1K | ---- | ---- | ---- | ---- | ---- |
Total non current liabilities | -58.33%45K | -54.60%74K | -57.61%78K | -57.61%78K | -5.81%81K | 20.00%108K | 26.36%163K | -81.80%184K | -81.80%184K | -91.85%86K |
Total liabilities | 1.26%2.24M | 6.22%2.26M | 8.08%2.21M | 8.08%2.21M | 11.29%2.17M | 2.93%2.21M | 5.31%2.12M | 6.74%2.04M | 6.74%2.04M | -2.01%1.95M |
Shareholders'equity | ||||||||||
Share capital | 0.00%98K | 0.00%98K | 0.00%98K | 0.00%98K | 0.00%98K | 0.00%98K | 0.00%98K | 0.00%98K | 0.00%98K | -2.80%98K |
-common stock | 0.00%98K | 0.00%98K | 0.00%98K | 0.00%98K | 0.00%98K | 0.00%98K | 0.00%98K | 0.00%98K | 0.00%98K | -2.80%98K |
Retained earnings | -15.25%-14M | -14.46%-13.51M | -15.15%-12.99M | -15.15%-12.99M | -18.70%-12.34M | -23.73%-12.14M | -29.66%-11.81M | -34.61%-11.28M | -34.61%-11.28M | -34.22%-10.39M |
Paid-in capital | 0.00%23.12M | 0.00%23.12M | 0.00%23.12M | 0.00%23.12M | 0.00%23.12M | 0.00%23.12M | 0.00%23.12M | 0.00%23.12M | 0.00%23.12M | -1.77%23.12M |
Gains losses not affecting retained earnings | -1.42%-2.58M | -12.57%-2.5M | -10.38%-2.28M | -10.38%-2.28M | -13.38%-2.75M | -46.00%-2.54M | -358.68%-2.22M | -1,900.97%-2.06M | -1,900.97%-2.06M | -1,711.41%-2.43M |
Total stockholders'equity | -22.12%6.65M | -21.61%7.21M | -19.49%7.95M | -19.49%7.95M | -21.83%8.13M | -26.82%8.54M | -32.56%9.19M | -32.98%9.87M | -32.98%9.87M | -34.04%10.4M |
Noncontrolling interests | ---168K | ---164K | ---149K | ---149K | ---- | ---- | ---- | --0 | --0 | ---- |
Total equity | -24.08%6.48M | -23.39%7.04M | -20.99%7.8M | -20.99%7.8M | -21.83%8.13M | -26.82%8.54M | -32.56%9.19M | -32.98%9.87M | -32.98%9.87M | -34.04%10.4M |
Currency Unit | USD | USD | USD | USD | USD | USD | USD | USD | USD | USD |
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