(Q1)Mar 31, 2023 | (FY)Dec 31, 2022 | (Q4)Dec 31, 2022 | (Q3)Sep 30, 2022 | (Q2)Jun 30, 2022 | (Q1)Mar 31, 2022 | (FY)Dec 31, 2021 | (Q4)Dec 31, 2021 | (Q3)Sep 30, 2021 | (Q2)Jun 30, 2021 | |
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Operating Cash Flow (Indirect Method) | ||||||||||
Cash flow from continuing operating activities | 9.09%-25M | 17.12%-86.13M | -11.05%-25.08M | -31.11%-23.42M | 62.92%-10.13M | 23.93%-27.5M | -690.47%-103.92M | -227.74%-22.58M | -369.07%-17.86M | -1,726.40%-27.32M |
Net income from continuing operations | -9.78%-33.63M | -6.29%-176.65M | -5.58%-93.32M | -38.89%-23.98M | 10.34%-28.71M | -7.43%-30.64M | -852.46%-166.19M | -848.56%-88.39M | -203.85%-17.27M | -1,865.38%-32.02M |
Operating gains losses | -100.68%-9K | 99.68%-111K | 88.35%-344K | 99.83%-27K | 83.52%-1.07M | 113.53%1.33M | ---35.05M | ---2.95M | ---15.78M | ---6.49M |
Depreciation and amortization | 145.53%7.64M | 51.51%16.35M | 113.55%6.41M | 18.06%3.77M | 9.43%3.06M | 72.70%3.11M | 6,032.95%10.79M | 2,630.00%3M | 6,152.94%3.19M | 46,766.67%2.8M |
Deferred tax | -122.94%-243K | 153.49%2.51M | 195.78%1.33M | 8,394.12%1.44M | 89.34%-159K | -105.41%-109K | 10,888.89%989K | 4,900.00%450K | --17K | ---1.49M |
Other non cash items | 7,473.08%1.97M | -137.99%-378K | -120.62%-220K | -169.23%-210K | 300.00%26K | 36.84%26K | -3.77%995K | -23.18%1.07M | 29.73%-78K | 88.39%-13K |
Change In working capital | 83.02%-1.23M | 63.49%-5.94M | 128.93%1.54M | -2,123.16%-9.87M | 375.29%9.65M | 8.52%-7.26M | -656.01%-16.28M | -709.38%-5.33M | -74.11%488K | -1,753.30%-3.51M |
-Change in receivables | -187.62%-883K | 7.98%-1.21M | -76.63%-2.78M | 30.59%1.29M | 29.76%593K | 74.03%-307K | ---1.32M | ---1.58M | --984K | --457K |
-Change in inventory | 2,629.49%1.97M | -711.86%-13.08M | -598.89%-5.67M | -232.97%-9.47M | -39.90%2.14M | 94.85%-78K | 45.61%-1.61M | 69.80%-811K | -2,992.39%-2.85M | 2,024.86%3.56M |
-Change in prepaid assets | -262.74%-2.63M | 96.39%-176K | 55.75%-938K | -229.64%-1.29M | 171.19%435K | 151.48%1.61M | -1,304.03%-4.87M | -3,754.55%-2.12M | 429.57%992K | -8,828.57%-611K |
-Change in payables and accrued expense | 122.93%418K | 159.36%7.18M | 1,959.69%7.87M | 221.68%724K | 156.87%410K | -149.24%-1.82M | -10.94%2.77M | -20.25%382K | -126.27%-595K | -275.85%-721K |
-Change in other current assets | 100.55%51K | 112.13%1.28M | 7,240.48%3M | -158.89%-1.15M | 234.26%8.66M | -54.01%-9.23M | -1,010.55%-10.53M | 95.56%-42K | 5,338.89%1.96M | -35,738.89%-6.45M |
-Change in other current liabilities | -106.51%-167K | 109.15%66K | 105.34%62K | 600.00%30K | -1,096.15%-2.59M | 1,285.95%2.56M | -117.68%-721K | -128.42%-1.16M | 73.91%-6K | 13,100.00%260K |
Cash from discontinued investing activities | ||||||||||
Operating cash flow | 9.09%-25M | 17.12%-86.13M | -11.05%-25.08M | -31.11%-23.42M | 62.92%-10.13M | 23.93%-27.5M | -690.48%-103.92M | -227.75%-22.58M | -368.94%-17.86M | -1,727.63%-27.32M |
Investing cash flow | ||||||||||
Cash flow from continuing investing activities | 45.74%-21.17M | 43.03%-179.68M | 10.44%-58.07M | 23.58%-34.03M | 32.08%-48.57M | 71.00%-39.02M | -783.94%-315.41M | -164.45%-64.84M | -435.73%-44.53M | -2,482.23%-71.5M |
Net PPE purchase and sale | 45.74%-21.17M | 40.24%-179.68M | 10.44%-58.07M | 13.92%-34.03M | 21.34%-48.57M | 71.00%-39.02M | -742.59%-300.65M | -164.45%-64.84M | -375.58%-39.53M | -2,129.90%-61.75M |
Net business purchase and sale | ---- | --0 | --0 | --0 | ---- | ---- | ---14.76M | --0 | ---5M | ---- |
Cash from discontinued investing activities | ||||||||||
Investing cash flow | 45.74%-21.17M | 43.03%-179.68M | 10.44%-58.07M | 23.58%-34.03M | 32.08%-48.57M | 71.00%-39.02M | -783.94%-315.41M | -164.45%-64.84M | -435.73%-44.53M | -2,482.23%-71.5M |
Financing cash flow | ||||||||||
Cash flow from continuing financing activities | 64.53%41.11M | -70.71%168.03M | 195.02%102.98M | -7.17%16.84M | -68.72%23.22M | -94.40%24.99M | 786.66%573.73M | 12,839.78%34.91M | -68.75%18.15M | 3,553.35%74.24M |
Net issuance payments of debt | -103.62%-937K | -57.17%56.22M | -102.64%-938K | -19.25%16.72M | -80.62%14.54M | --25.9M | 310.24%131.28M | --35.57M | -30.97%20.71M | --75M |
Net common stock issuance | --46M | --12.2M | --737K | --2.65M | --8.82M | --0 | --0 | --0 | --0 | ---- |
Proceeds from stock option exercised by employees | 75.00%63K | 47.49%441K | -44.97%93K | -15.79%80K | --232K | 2.86%36K | 754.29%299K | 5,533.33%169K | --95K | --0 |
Net other financing activities | -321.62%-4.02M | -77.57%99.16M | 12,505.66%103.09M | 2.03%-2.61M | 51.70%-369K | -100.21%-953K | 159,723.47%442.16M | ---831K | ---2.66M | ---764K |
Cash from discontinued financing activities | ||||||||||
Financing cash flow | 64.53%41.11M | -70.71%168.03M | 195.02%102.98M | -7.17%16.84M | -68.72%23.22M | -94.40%24.99M | 786.66%573.73M | 12,839.78%34.91M | -68.75%18.15M | 3,553.35%74.24M |
Net cash flow | ||||||||||
Beginning cash position | -55.46%78.53M | 704.74%176.31M | -74.35%58.7M | -63.64%99.3M | -54.72%134.78M | 704.74%176.31M | 263.27%21.91M | 326.98%228.82M | 3,472.82%273.07M | 2,914.28%297.66M |
Current changes in cash | 87.81%-5.07M | -163.33%-97.78M | 137.78%19.84M | 8.24%-40.6M | -44.28%-35.48M | -115.06%-41.54M | 872.43%154.4M | -65.75%-52.51M | -196.30%-44.25M | -1,001.66%-24.59M |
End cash Position | -45.49%73.47M | -63.96%54.33M | -63.96%54.33M | -74.35%58.7M | -63.64%99.3M | -54.72%134.78M | 588.10%150.76M | 588.10%150.76M | 326.98%228.82M | 3,472.82%273.07M |
Free cash flow | 30.59%-46.17M | 34.04%-266.87M | 3.68%-84.21M | -0.09%-57.45M | 34.10%-58.7M | 61.03%-66.52M | -728.56%-404.58M | -178.34%-87.42M | -373.49%-57.39M | -1,988.86%-89.07M |
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 |
Audit Opinions | -- | Unqualified Opinion with Explanatory Notes | -- | -- | -- | -- | Unqualified Opinion | -- | -- | -- |
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