(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 | 33.66%8.82M | 36.65%11.53M | -4.80%9.22M | -4.80%9.22M | -44.49%5.81M | -41.34%6.6M | 201.27%8.44M | 996.65%9.68M | 996.65%9.68M | 135.44%10.47M |
-Cash and cash equivalents | 33.66%8.82M | 36.65%11.53M | -4.80%9.22M | -4.80%9.22M | -44.49%5.81M | -41.34%6.6M | 201.44%8.43M | 999.22%9.68M | 999.22%9.68M | 135.51%10.47M |
-Short term investments | 24.26%420 | -0.18%566 | -37.09%385 | -37.09%385 | -54.42%423 | -71.62%338 | -67.40%567 | -71.13%612 | -71.13%612 | -50.19%928 |
Prepaid assets | 22.22%170.44K | 52.26%252.75K | 50.46%382.31K | 50.46%382.31K | -39.62%180.75K | -50.91%139.46K | -96.31%166.01K | -94.01%254.11K | -94.01%254.11K | 62.67%299.36K |
Restricted cash | 0.02%75.08K | 0.02%75.08K | 0.02%75.08K | 0.02%75.08K | 0.02%75.08K | 0.00%75.06K | 0.00%75.06K | 0.00%75.06K | 0.00%75.06K | 0.00%75.06K |
Other current assets | -59.73%45.4K | 2.57%132.33K | -42.33%131.26K | -42.33%131.26K | 154.77%115.28K | 40.30%112.73K | 9.37%129.01K | -13.81%227.59K | -13.81%227.59K | 1.55%45.25K |
Total current assets | 31.54%9.11M | 36.13%11.99M | -4.23%9.81M | -4.23%9.81M | -43.22%6.18M | -40.75%6.92M | 17.52%8.81M | 87.49%10.24M | 87.49%10.24M | 129.22%10.89M |
Non current assets | ||||||||||
Net PPE | 8.82%15.69M | 13.73%15.22M | 16.62%14.93M | 16.62%14.93M | 14.65%14.51M | 16.20%14.42M | 10.17%13.38M | 8.65%12.8M | 8.65%12.8M | 7.33%12.66M |
-Gross PPE | --16.28M | --15.65M | 18.54%15.25M | 18.54%15.25M | ---- | ---- | ---- | --12.86M | --12.86M | ---- |
-Accumulated depreciation | ---584.9K | ---434.24K | -398.71%-321.65K | -398.71%-321.65K | ---- | ---- | ---- | ---64.5K | ---64.5K | ---- |
Goodwill and other intangible assets | 0.00%9.49M | 0.00%9.49M | 0.00%9.49M | 0.00%9.49M | 0.00%9.49M | 0.00%9.49M | 0.00%9.49M | 0.00%9.49M | 0.00%9.49M | 0.00%9.49M |
-Other intangible assets | 0.00%9.49M | 0.00%9.49M | 0.00%9.49M | 0.00%9.49M | 0.00%9.49M | 0.00%9.49M | 0.00%9.49M | 0.00%9.49M | 0.00%9.49M | 0.00%9.49M |
Other non current assets | 0.01%676.44K | 0.01%676.44K | 0.00%676.37K | 0.00%676.37K | 0.00%676.37K | 1.64%676.37K | 1.65%676.37K | 1.65%676.35K | 1.65%676.35K | -17.70%676.35K |
Total non current assets | 5.17%25.86M | 7.80%25.38M | 9.26%25.09M | 9.26%25.09M | 8.12%24.67M | 8.96%24.58M | 5.59%23.54M | 4.69%22.96M | 4.69%22.96M | 3.25%22.82M |
Total assets | 10.97%34.96M | 15.51%37.37M | 5.10%34.9M | 5.10%34.9M | -8.46%30.86M | -8.00%31.51M | 8.59%32.35M | 21.20%33.2M | 21.20%33.2M | 25.54%33.71M |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Payables | 25.64%626.11K | 21.89%504.94K | 39.42%562.83K | 39.42%562.83K | 14.87%405.93K | 0.96%498.33K | 21.74%414.25K | -38.55%403.71K | -38.55%403.71K | -24.23%353.39K |
-accounts payable | 25.64%626.11K | 21.89%504.94K | 39.42%562.83K | 39.42%562.83K | 14.87%405.93K | 0.96%498.33K | 21.74%414.25K | -20.97%403.71K | -20.97%403.71K | -24.23%353.39K |
Current accrued expenses | -11.89%144.41K | 56.32%229.32K | 34.06%198.29K | 34.06%198.29K | -21.65%172.02K | -9.57%163.9K | -10.54%146.7K | -21.64%147.91K | -21.64%147.91K | 40.46%219.54K |
Current provisions | 0.00%75.06K | 0.00%75.06K | 0.00%75.06K | 0.00%75.06K | 0.00%75.06K | 0.00%75.06K | 0.00%75.06K | 0.00%75.06K | 0.00%75.06K | 0.00%75.06K |
Current deferred liabilities | ---- | ---- | --0 | --0 | --0 | -82.13%11.55K | -57.13%27.71K | -9.50%43.86K | -9.50%43.86K | 23.83%60.02K |
Current liabilities | 12.92%845.57K | 21.94%809.31K | 24.70%836.18K | 24.70%836.18K | -7.77%653.01K | -8.06%748.83K | 3.07%663.71K | -30.82%670.53K | -30.82%670.53K | -5.12%708K |
Non current liabilities | ||||||||||
Long term provisions | 7.29%247.59K | 7.28%244.56K | 7.26%241.56K | 7.26%241.56K | 7.25%238.58K | 6.62%230.76K | 14.47%227.96K | 14.58%225.22K | 14.58%225.22K | -7.64%222.45K |
Non current deferred liabilities | 0.05%3.04M | -0.30%3.03M | 0.01%3.05M | 0.01%3.05M | -0.01%3.03M | -1.31%3.04M | -2.16%3.04M | -2.64%3.05M | -2.64%3.05M | -3.66%3.03M |
Total non current liabilities | 0.56%3.29M | 0.23%3.28M | 0.51%3.29M | 0.51%3.29M | 0.49%3.27M | -0.78%3.27M | -1.16%3.27M | -1.62%3.27M | -1.62%3.27M | -3.95%3.25M |
Total liabilities | 2.86%4.14M | 3.89%4.09M | 4.62%4.13M | 4.62%4.13M | -0.99%3.92M | -2.23%4.02M | -0.47%3.94M | -8.21%3.94M | -8.21%3.94M | -4.16%3.96M |
Shareholders'equity | ||||||||||
Share capital | 25.79%55.03M | 25.53%54.79M | 14.44%49.66M | 14.44%49.66M | 4.03%44.3M | 3.44%43.75M | 8.98%43.65M | 19.89%43.39M | 19.89%43.39M | 20.27%42.58M |
-common stock | 25.79%55.03M | 25.53%54.79M | 14.44%49.66M | 14.44%49.66M | 4.03%44.3M | 3.44%43.75M | 8.98%43.65M | 19.89%43.39M | 19.89%43.39M | 20.27%42.58M |
Retained earnings | -48.99%-23.92M | -42.17%-21.29M | -35.62%-18.82M | -35.62%-18.82M | -36.02%-17.12M | -33.18%-16.06M | -4.49%-14.98M | -5.42%-13.88M | -5.42%-13.88M | 0.80%-12.58M |
Less: Treasury stock | --0 | --0 | --0 | --0 | --0 | --0 | --0 | --0 | --0 | --0 |
Gains losses not affecting retained earnings | -37.42%-278.89K | 15.09%-216.37K | 71.66%-74.01K | 71.66%-74.01K | 1.04%-246.42K | -101.63%-202.94K | -312.10%-254.82K | -511.37%-261.13K | -511.37%-261.13K | -12,282.60%-249.01K |
Total stockholders'equity | 12.15%30.83M | 17.12%33.28M | 5.17%30.77M | 5.17%30.77M | -9.46%26.93M | -8.79%27.49M | 9.97%28.41M | 26.67%29.26M | 26.67%29.26M | 30.94%29.75M |
Total equity | 12.15%30.83M | 17.12%33.28M | 5.17%30.77M | 5.17%30.77M | -9.46%26.93M | -8.79%27.49M | 9.97%28.41M | 26.67%29.26M | 26.67%29.26M | 30.94%29.75M |
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 with Explanatory Notes | -- | -- | -- | -- | -- | -- | -- |
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