(FY)Dec 30, 2023 | (Q4)Dec 30, 2023 | (FY)Dec 30, 2022 | (Q4)Dec 30, 2022 | (FY)Dec 30, 2021 | (Q4)Dec 30, 2021 | (FY)Dec 30, 2020 | (Q4)Dec 30, 2020 | (FY)Dec 30, 2019 | (Q4)Dec 30, 2019 | |
---|---|---|---|---|---|---|---|---|---|---|
Assets | ||||||||||
Current assets | ||||||||||
Cash, cash equivalents and short term investments | -62.17%13.85M | -62.17%13.85M | 58.54%36.61M | 58.54%36.61M | 698.44%23.09M | 698.44%23.09M | -51.53%2.89M | -51.53%2.89M | 119.86%5.97M | 119.86%5.97M |
-Cash and cash equivalents | -62.17%13.85M | -62.17%13.85M | 58.54%36.61M | 58.54%36.61M | 698.44%23.09M | 698.44%23.09M | -51.53%2.89M | -51.53%2.89M | 119.86%5.97M | 119.86%5.97M |
Receivables | -27.77%128.17K | -27.77%128.17K | 419.20%177.45K | 419.20%177.45K | -78.96%34.18K | -78.96%34.18K | 369.11%162.44K | 369.11%162.44K | 0.74%34.63K | 0.74%34.63K |
-Other receivables | -27.77%128.17K | -27.77%128.17K | 419.20%177.45K | 419.20%177.45K | -78.96%34.18K | -78.96%34.18K | 369.11%162.44K | 369.11%162.44K | 0.74%34.63K | 0.74%34.63K |
Other current assets | -6.91%141.5K | -6.91%141.5K | 96.51%151.99K | 96.51%151.99K | 236.38%77.35K | 236.38%77.35K | 10.93%22.99K | 10.93%22.99K | 386.57%20.73K | 386.57%20.73K |
Total current assets | -61.77%14.12M | -61.77%14.12M | 59.19%36.94M | 59.19%36.94M | 653.95%23.2M | 653.95%23.2M | -48.90%3.08M | -48.90%3.08M | 118.78%6.02M | 118.78%6.02M |
Non current assets | ||||||||||
Net PPE | 104.49%8.38M | 104.49%8.38M | 35.66%4.1M | 35.66%4.1M | 23.34%3.02M | 23.34%3.02M | 19.71%2.45M | 19.71%2.45M | 35.79%2.05M | 35.79%2.05M |
-Gross PPE | 98.15%8.47M | 98.15%8.47M | 35.60%4.28M | 35.60%4.28M | 23.78%3.15M | 23.78%3.15M | 20.99%2.55M | 20.99%2.55M | 38.20%2.11M | 38.20%2.11M |
-Accumulated depreciation | 48.57%-91.05K | 48.57%-91.05K | -34.13%-177.04K | -34.13%-177.04K | -34.72%-131.98K | -34.72%-131.98K | -65.00%-97.97K | -65.00%-97.97K | -254.77%-59.37K | -254.77%-59.37K |
Investments and advances | -6.40%27.01M | -6.40%27.01M | 133.34%28.86M | 133.34%28.86M | 59.52%12.37M | 59.52%12.37M | -20.67%7.75M | -20.67%7.75M | -7.79%9.77M | -7.79%9.77M |
-Long term equity investment | -6.40%27.01M | -6.40%27.01M | 133.34%28.86M | 133.34%28.86M | 59.52%12.37M | 59.52%12.37M | -20.67%7.75M | -20.67%7.75M | -7.79%9.77M | -7.79%9.77M |
Other non current assets | -30.62%17.14M | -30.62%17.14M | 34.43%24.7M | 34.43%24.7M | 144.89%18.37M | 144.89%18.37M | 5.29%7.5M | 5.29%7.5M | 90.43%7.13M | 90.43%7.13M |
Total non current assets | -8.89%52.53M | -8.89%52.53M | 70.77%57.66M | 70.77%57.66M | 90.69%33.76M | 90.69%33.76M | -6.54%17.71M | -6.54%17.71M | 19.54%18.95M | 19.54%18.95M |
Total assets | -29.54%66.65M | -29.54%66.65M | 66.06%94.6M | 66.06%94.6M | 174.11%56.97M | 174.11%56.97M | -16.76%20.78M | -16.76%20.78M | 34.23%24.97M | 34.23%24.97M |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Current debt and capital lease obligation | 1,332.88%61.57K | 1,332.88%61.57K | -91.47%4.3K | -91.47%4.3K | 2.77%50.39K | 2.77%50.39K | 18.86%49.03K | 18.86%49.03K | 19.71%41.25K | 19.71%41.25K |
-Current capital lease obligation | 1,332.88%61.57K | 1,332.88%61.57K | -91.47%4.3K | -91.47%4.3K | 2.77%50.39K | 2.77%50.39K | 18.86%49.03K | 18.86%49.03K | 19.71%41.25K | 19.71%41.25K |
Payables | -18.32%210.18K | -18.32%210.18K | 40.66%257.32K | 40.66%257.32K | -3.01%182.93K | -3.01%182.93K | 41.66%188.62K | 41.66%188.62K | -61.35%133.15K | -61.35%133.15K |
-accounts payable | -16.01%169.75K | -16.01%169.75K | 149.23%202.11K | 149.23%202.11K | -35.54%81.1K | -35.54%81.1K | 33.12%125.8K | 33.12%125.8K | -46.82%94.5K | -46.82%94.5K |
-Other payable | -26.77%40.43K | -26.77%40.43K | -45.79%55.21K | -45.79%55.21K | 62.13%101.84K | 62.13%101.84K | 62.55%62.81K | 62.55%62.81K | -76.84%38.64K | -76.84%38.64K |
Current liabilities | 3.87%271.75K | 3.87%271.75K | 12.13%261.62K | 12.13%261.62K | -1.82%233.32K | -1.82%233.32K | 36.27%237.65K | 36.27%237.65K | -53.98%174.4K | -53.98%174.4K |
Non current liabilities | ||||||||||
Long term debt and capital lease obligation | --167.3K | --167.3K | ---- | ---- | -88.36%6.64K | -88.36%6.64K | -31.86%57.04K | -31.86%57.04K | -33.01%83.7K | -33.01%83.7K |
-Long term capital lease obligation | --167.3K | --167.3K | ---- | ---- | -88.36%6.64K | -88.36%6.64K | -31.86%57.04K | -31.86%57.04K | -33.01%83.7K | -33.01%83.7K |
Total non current liabilities | --167.3K | --167.3K | --0 | --0 | -88.36%6.64K | -88.36%6.64K | -31.86%57.04K | -31.86%57.04K | -33.01%83.7K | -33.01%83.7K |
Total liabilities | 67.82%439.05K | 67.82%439.05K | 9.02%261.62K | 9.02%261.62K | -18.57%239.96K | -18.57%239.96K | 14.17%294.69K | 14.17%294.69K | -48.78%258.1K | -48.78%258.1K |
Shareholders'equity | ||||||||||
Share capital | 0.00%153.53M | 0.00%153.53M | 26.71%153.53M | 26.71%153.53M | 36.11%121.17M | 36.11%121.17M | 0.00%89.02M | 0.00%89.02M | 10.64%89.02M | 10.64%89.02M |
-common stock | 0.00%153.53M | 0.00%153.53M | 26.71%153.53M | 26.71%153.53M | 36.11%121.17M | 36.11%121.17M | 0.00%89.02M | 0.00%89.02M | 10.64%89.02M | 10.64%89.02M |
Retained earnings | -15.44%-79.4M | -15.44%-79.4M | -0.26%-68.78M | -0.26%-68.78M | 2.84%-68.6M | 2.84%-68.6M | -3.11%-70.61M | -3.11%-70.61M | -3.62%-68.48M | -3.62%-68.48M |
Gains losses not affecting retained earnings | -182.62%-7.92M | -182.62%-7.92M | 130.39%9.59M | 130.39%9.59M | 100.32%4.16M | 100.32%4.16M | -50.20%2.08M | -50.20%2.08M | 11.96%4.17M | 11.96%4.17M |
Total stockholders'equity | -29.81%66.21M | -29.81%66.21M | 66.30%94.34M | 66.30%94.34M | 176.88%56.73M | 176.88%56.73M | -17.08%20.49M | -17.08%20.49M | 36.54%24.71M | 36.54%24.71M |
Total equity | -29.81%66.21M | -29.81%66.21M | 66.30%94.34M | 66.30%94.34M | 176.88%56.73M | 176.88%56.73M | -17.08%20.49M | -17.08%20.49M | 36.54%24.71M | 36.54%24.71M |
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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