(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 | |
---|---|---|---|---|---|---|---|---|---|---|
Assets | ||||||||||
Current assets | ||||||||||
Cash, cash equivalents and short term investments | 57.61%66.15M | 30.64%46.55M | 15.68%48.23M | -11.21%43.42M | -11.21%43.42M | -19.96%41.97M | -37.62%35.63M | 15.63%41.69M | -21.01%48.91M | -21.01%48.91M |
-Cash and cash equivalents | 57.61%66.15M | 30.64%46.55M | 15.68%48.23M | -11.21%43.42M | -11.21%43.42M | -19.96%41.97M | -37.62%35.63M | 15.63%41.69M | -21.01%48.91M | -21.01%48.91M |
Receivables | 145.42%217.65M | 139.09%182.47M | 25.83%130.77M | 14.99%110.21M | 14.99%110.21M | -21.27%88.68M | -23.27%76.32M | 38.84%103.93M | 28.09%95.85M | 28.09%95.85M |
-Accounts receivable | 147.02%216.83M | 140.66%181.49M | 57.08%129.8M | 20.37%94.99M | 20.37%94.99M | -11.84%87.78M | -12.91%75.41M | 11.14%82.63M | 19.53%78.91M | 19.53%78.91M |
-Taxes receivable | ---- | ---- | ---- | -41.00%6.96M | -41.00%6.96M | ---- | ---- | --20.75M | 150.19%11.79M | 150.19%11.79M |
-Other receivables | -9.05%824K | 8.50%983K | 78.49%971K | 60.68%8.26M | 60.68%8.26M | 54.61%906K | 48.28%906K | 8.15%544K | 25.59%5.14M | 25.59%5.14M |
Inventory | 42.63%1.92M | 55.79%1.84M | -16.02%1.17M | -13.87%1.18M | -13.87%1.18M | -4.34%1.34M | 18.30%1.18M | 54.99%1.4M | 72.76%1.37M | 72.76%1.37M |
Prepaid assets | ---- | ---- | ---- | 51.07%6.4M | 51.07%6.4M | ---- | ---- | ---- | -9.71%4.23M | -9.71%4.23M |
Restricted cash | ---- | ---- | ---- | ---- | ---- | --3.29M | ---- | ---- | ---- | ---- |
Holding assets for sale | --0 | --0 | --0 | --14.21M | --14.21M | ---- | ---- | ---- | --0 | --0 |
Other current assets | 6.26%29.21M | 45.88%29.18M | --24.33M | 88.46%980K | 88.46%980K | --27.49M | --20M | ---- | 377.06%520K | 377.06%520K |
Total current assets | 93.47%314.93M | 95.32%260.04M | 39.10%204.5M | 16.91%176.4M | 16.91%176.4M | -2.23%162.78M | -15.52%133.13M | 21.51%147.02M | 6.00%150.88M | 6.00%150.88M |
Non current assets | ||||||||||
Net PPE | 16.29%97.63M | 18.85%101.52M | 19.61%101.6M | 24.24%102.54M | 24.24%102.54M | 2.74%83.95M | 7.59%85.42M | -1.72%84.94M | -0.63%82.54M | -0.63%82.54M |
-Gross PPE | ---- | ---- | ---- | --144.58M | --144.58M | ---- | ---- | ---- | ---- | ---- |
-Accumulated depreciation | ---- | ---- | ---- | ---42.04M | ---42.04M | ---- | ---- | ---- | ---- | ---- |
Investments and advances | 1,069.22%126.79M | 1,792.52%205.57M | 738.23%88.89M | 508.30%60.86M | 508.30%60.86M | 1.18%10.84M | 3.65%10.86M | 1.38%10.61M | -7.75%10.01M | -7.75%10.01M |
-Long term equity investment | 315.20%16.93M | 348.82%18.77M | 335.19%18.59M | 7.35%4.69M | 7.35%4.69M | -15.39%4.08M | -16.63%4.18M | -16.35%4.27M | -19.88%4.37M | -19.88%4.37M |
-Financial asset investment | 1,523.68%109.86M | 2,696.00%186.8M | 1,009.99%70.31M | 896.63%56.17M | 896.63%56.17M | 14.72%6.77M | 22.27%6.68M | 18.28%6.33M | 4.53%5.64M | 4.53%5.64M |
-Including:Financial assets designated as fair value through profit or loss, Total | 1,523.68%109.86M | 2,696.00%186.8M | 1,009.99%70.31M | 896.63%56.17M | 896.63%56.17M | 14.72%6.77M | 22.27%6.68M | 18.28%6.33M | 4.53%5.64M | 4.53%5.64M |
Non current accounts receivable | -14.45%1.5M | -14.22%1.63M | 3.44%1.8M | -1.49%1.85M | -1.49%1.85M | -12.84%1.75M | -11.34%1.9M | -16.72%1.74M | -14.93%1.88M | -14.93%1.88M |
Goodwill and other intangible assets | -4.26%1.05B | 2.92%1.07B | -0.32%1.07B | -0.68%1.06B | -0.68%1.06B | 1.37%1.1B | -1.13%1.04B | 5.37%1.07B | 2.13%1.07B | 2.13%1.07B |
-Goodwill | -0.71%516.69M | 5.05%519.55M | 3.58%516.06M | 1.76%508.06M | 1.76%508.06M | 5.15%520.41M | 0.94%494.58M | -17.96%498.23M | 5.88%499.29M | 5.88%499.29M |
-Other intangible assets | -7.47%532.84M | 0.98%546.63M | -3.70%552.65M | -2.81%555.2M | -2.81%555.2M | -1.82%575.83M | -2.94%541.32M | 39.90%573.91M | -0.94%571.27M | -0.94%571.27M |
Other non current assets | -18.78%2.76M | -27.64%2.77M | -16.95%2.74M | 38.28%4.39M | 38.28%4.39M | --3.4M | --3.83M | 596.84%3.3M | 393.32%3.18M | 393.32%3.18M |
Total non current assets | 6.86%1.28B | 21.07%1.38B | 7.76%1.26B | 5.54%1.23B | 5.54%1.23B | 1.67%1.2B | -0.23%1.14B | 4.99%1.17B | 2.02%1.17B | 2.02%1.17B |
Total assets | 17.23%1.59B | 28.85%1.64B | 11.25%1.47B | 6.84%1.41B | 6.84%1.41B | 1.19%1.36B | -2.08%1.27B | 6.61%1.32B | 2.46%1.32B | 2.46%1.32B |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Current debt and capital lease obligation | -50.43%24.74M | -40.83%23.6M | -37.89%23.97M | 40.95%60.98M | 40.95%60.98M | 34.86%49.91M | 6.39%39.89M | -18.53%38.6M | -24.59%43.26M | -24.59%43.26M |
-Current debt | -78.33%8.73M | -72.43%8.03M | -70.69%8.54M | 35.00%46.11M | 35.00%46.11M | 38.62%40.27M | -3.48%29.14M | -26.36%29.14M | -31.90%34.15M | -31.90%34.15M |
-Current capital lease obligation | 66.18%16.01M | 44.84%15.57M | 63.09%15.43M | 63.27%14.87M | 63.27%14.87M | 21.13%9.64M | 47.21%10.75M | 21.11%9.46M | 26.19%9.11M | 26.19%9.11M |
Payables | 341.31%212.92M | 212.95%142.65M | 31.48%73.49M | -11.27%48.74M | -11.27%48.74M | -15.04%48.25M | -10.33%45.58M | --55.89M | 30.78%54.93M | 30.78%54.93M |
-accounts payable | 38.27%66.21M | 41.67%61.75M | 2.21%55.18M | -5.62%47.88M | -5.62%47.88M | -7.60%47.88M | -2.28%43.59M | --53.99M | 31.04%50.73M | 31.04%50.73M |
-Total tax payable | 712.91%2.96M | -21.05%1.58M | -54.72%864K | -79.48%862K | -79.48%862K | -92.67%364K | -67.98%2M | --1.91M | 27.77%4.2M | 27.77%4.2M |
-Other payable | --143.75M | --79.33M | --17.45M | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
Current accrued expenses | 80.54%14.84M | 123.08%15.57M | 129.53%15.31M | 123.83%12.45M | 123.83%12.45M | 23.58%8.22M | -4.23%6.98M | --6.67M | -13.86%5.56M | -13.86%5.56M |
Current deferred liabilities | -26.91%17.32M | -14.21%19.14M | -15.82%18.42M | -15.52%21.14M | -15.52%21.14M | -44.57%23.7M | -39.18%22.31M | -59.75%21.89M | -12.45%25.03M | -12.45%25.03M |
Other current liabilities | -2.26%7.34M | 7.74%7.46M | 17.52%7.07M | 24.83%9.64M | 24.83%9.64M | 15.45%7.51M | 13.29%6.92M | -36.24%6.02M | 163.80%7.72M | 163.80%7.72M |
Current liabilities | 101.45%277.16M | 71.28%208.42M | 7.13%138.27M | 12.05%152.95M | 12.05%152.95M | -8.10%137.59M | -12.09%121.68M | -13.70%129.06M | -0.61%136.5M | -0.61%136.5M |
Non current liabilities | ||||||||||
Long term debt and capital lease obligation | 5.00%371.63M | 30.22%395.34M | 26.21%408.15M | 15.91%365.31M | 15.91%365.31M | 7.03%353.94M | -7.27%303.59M | -0.63%323.38M | -8.54%315.16M | -8.54%315.16M |
-Long term debt | 3.53%311.29M | 32.65%331.01M | 27.63%343.72M | 13.66%298.91M | 13.66%298.91M | 8.08%300.67M | -9.68%249.53M | -1.65%269.31M | -9.50%263M | -9.50%263M |
-Long term capital lease obligation | 13.26%60.34M | 18.99%64.32M | 19.14%64.43M | 27.30%66.39M | 27.30%66.39M | 1.49%53.27M | 5.77%54.06M | 4.81%54.08M | -3.36%52.16M | -3.36%52.16M |
Non current deferred liabilities | -47.20%24.16M | -44.17%24.17M | -35.40%30.89M | -19.57%41.32M | -19.57%41.32M | -32.65%45.77M | -37.88%43.29M | -22.68%47.82M | -47.35%51.38M | -47.35%51.38M |
Other non current liabilities | 2.83%2.14M | 12.49%2.03M | 193.54%2.18M | 380.78%3.58M | 380.78%3.58M | 52.23%2.08M | 35.72%1.8M | 877.63%743K | 878.95%744K | 878.95%744K |
Total non current liabilities | -0.96%397.94M | 20.89%421.53M | 18.62%441.22M | 11.69%410.2M | 11.69%410.2M | 0.45%401.79M | -12.48%348.68M | -3.97%371.95M | -16.95%367.28M | -16.95%367.28M |
Total liabilities | 25.16%675.1M | 33.93%629.95M | 15.66%579.49M | 11.79%563.16M | 11.79%563.16M | -1.88%539.37M | -12.38%470.36M | -6.68%501.01M | -13.08%503.78M | -13.08%503.78M |
Shareholders'equity | ||||||||||
Share capital | 5.77%784.12M | 6.74%778.59M | 6.67%769.26M | 6.57%751.55M | 6.57%751.55M | 6.63%741.37M | 6.94%729.42M | 13.21%721.18M | 11.31%705.19M | 11.31%705.19M |
-common stock | 5.77%784.12M | 6.74%778.59M | 6.67%769.26M | 6.57%751.55M | 6.57%751.55M | 6.63%741.37M | 6.94%729.42M | 13.21%721.18M | 11.31%705.19M | 11.31%705.19M |
Additional paid-in capital | -13.95%44.99M | -4.79%48.95M | -1.03%51.22M | 4.41%54.05M | 4.41%54.05M | 3.56%52.29M | -1.57%51.41M | 12.90%51.76M | 17.68%51.77M | 17.68%51.77M |
Retained earnings | 80.34%-17.97M | 175.45%63.22M | 37.84%-48.5M | 0.13%-63.58M | 0.13%-63.58M | -8.43%-91.4M | -6.58%-83.79M | -7.38%-78.02M | 2.11%-63.67M | 2.11%-63.67M |
Gains losses not affecting retained earnings | -5.55%35.99M | 67.15%44.27M | 1.11%38.86M | -34.32%25.65M | -34.32%25.65M | -14.30%38.1M | 108.42%26.48M | 1,980.96%38.43M | 625.60%39.06M | 625.60%39.06M |
Total stockholders'equity | 14.42%847.12M | 29.23%935.02M | 10.57%810.84M | 4.82%767.67M | 4.82%767.67M | 4.88%740.36M | 8.25%723.53M | 20.59%733.34M | 18.53%732.34M | 18.53%732.34M |
Noncontrolling interests | -10.51%70.91M | -5.74%72.72M | -8.74%77.93M | -5.34%78.48M | -5.34%78.48M | -9.29%79.23M | -16.93%77.15M | -8.11%85.4M | -7.79%82.91M | -7.79%82.91M |
Total equity | 12.01%918.03M | 25.86%1.01B | 8.55%888.77M | 3.79%846.15M | 3.79%846.15M | 3.32%819.59M | 5.17%800.68M | 16.78%818.74M | 15.19%815.25M | 15.19%815.25M |
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 | -- |
FY: Financial Year. Refers to the 10-K file disclosed by the listed company to the SEC.
Q: Quarter. Refers to the 10-Q file disclosed by the listed company to the SEC. Q1, Q2, Q3, and Q4 are quarterly reports each with a span of 3 months; Q6 and Q9 are cumulative reports, with Q6 including 6 months and Q9 9 months.
No Data