(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 | (Q2)Jun 30, 2022 | |
---|---|---|---|---|---|---|---|---|---|---|
Operating Cash Flow (Indirect Method) | ||||||||||
Cash flow from continuing operating activities | 282.09%130.75M | 1.44%628.03M | -6.48%200.73M | 28.88%132.63M | 93.15%261.4M | -79.41%34.22M | 293.16%619.1M | 69.66%214.63M | -41.10%102.91M | 31.03%135.34M |
Net income from continuing operations | -148.20%-120.31M | 89.19%-33.31M | 283.03%166.73M | 9.65%-187.33M | -320.91%-262.32M | 374.56%249.61M | -265.98%-308.16M | -163.48%-91.1M | -425.95%-207.34M | -173.40%-62.32M |
Operating gains losses | 131.84%2.24M | -81.39%-23.34M | -207.04%-9.12M | -46.75%-4.49M | -133.88%-2.71M | -23.68%-7.03M | 34.87%-12.87M | -445.96%-2.97M | 77.11%-3.06M | 7.37%-1.16M |
Depreciation and amortization | 6.49%129.54M | 2.52%467M | 6.38%122.12M | -3.16%104.79M | 5.24%118.45M | 1.40%121.64M | 13.04%455.52M | 3.60%114.8M | 12.07%108.21M | 14.66%112.55M |
Deferred tax | -190.14%-16.41M | -10.39%-76.56M | 191.70%19.56M | -108.66%-52.06M | -137.37%-62.26M | 478.18%18.2M | -36.90%-69.36M | -484.06%-21.33M | -7.80%-24.95M | -225.45%-26.23M |
Other non cash items | 185.75%2.31M | 1,587.65%104.97M | 880.64%8.03M | 1,224.60%61.98M | 7,862.79%37.66M | -228.58%-2.7M | 852.53%6.22M | 75.76%-1.03M | 466.98%4.68M | -88.58%473K |
Change In working capital | 66.90%-54.54M | 61.04%-86.34M | 104.40%1.81M | 63.63%-34.79M | 406.71%112.38M | -242.26%-164.79M | 57.55%-221.62M | 51.21%-41.16M | -1,637.81%-95.67M | 29.31%-36.64M |
-Change in receivables | -154.49%-7.8M | 100.78%974K | -9.94%-107.6M | 222.65%67.68M | 379.77%26.58M | 137.98%14.31M | -107.58%-124.08M | -12.34%-97.88M | 484.26%20.98M | -115.15%-9.5M |
-Change in inventory | -117.15%-3.72M | 95.20%-2.17M | -0.91%13.34M | 68.84%-12.71M | 7.03%-24.52M | 156.56%21.72M | -4.70%-45.23M | 235.32%13.46M | -17.21%-40.78M | -97.87%-26.37M |
-Change in prepaid assets | 66.91%-2.33M | -209.63%-13.22M | -118.84%-2.92M | -129.18%-16.49M | 354.30%13.23M | 4.11%-7.05M | -259.04%-4.27M | 11.05%15.48M | -18.25%-7.19M | 35.08%-5.2M |
-Change in payables and accrued expense | 95.16%-8.51M | -83.56%24.46M | 29.75%123.66M | -530.95%-30.91M | 342.77%108.43M | -619.55%-175.78M | 5,194.77%148.73M | 415.61%95.31M | -104.15%-4.9M | 193.15%24.49M |
-Change in other working capital | -78.89%-32.18M | 51.02%-96.38M | 63.47%-24.67M | 33.56%-42.37M | 43.41%-11.35M | 60.39%-17.99M | 53.22%-196.77M | -242.34%-67.53M | 2.52%-63.77M | 70.03%-20.06M |
Cash from discontinued investing activities | ||||||||||
Operating cash flow | 282.09%130.75M | 1.44%628.03M | -6.48%200.73M | 28.88%132.63M | 93.15%261.4M | -79.41%34.22M | 293.16%619.1M | 69.66%214.63M | -41.10%102.91M | 31.03%135.34M |
Investing cash flow | ||||||||||
Cash flow from continuing investing activities | 3.45%-211.65M | 38.74%-1.1B | -69.56%-256.39M | -6.82%-344.66M | 10.28%-275.36M | 78.25%-219.2M | 0.54%-1.79B | -312.95%-151.21M | 31.94%-322.66M | 51.77%-306.93M |
Net PPE purchase and sale | -25.21%-212.55M | 5.77%-1.03B | -73.13%-332.12M | 13.31%-279.09M | 0.94%-245.21M | 48.20%-169.75M | 19.03%-1.09B | 34.72%-191.83M | 7.50%-321.96M | 39.29%-247.54M |
Net business purchase and sale | --17.72M | --0 | --0 | --0 | --0 | --0 | ---632.8M | --0 | --0 | ---86K |
Net investment purchase and sale | 66.61%-15.89M | -6.24%-231.99M | -40.60%-90.43M | -6.51%-63.94M | 38.93%-30.03M | -6.13%-47.61M | 64.90%-218.36M | -138.97%-64.32M | 49.46%-60.03M | 75.56%-49.16M |
Net other investing changes | 49.68%-931K | 7.10%162.54M | 58.35%166.16M | -102.75%-1.63M | 98.72%-130K | 21.01%-1.85M | -10.21%151.77M | -47.49%104.93M | 915.09%59.32M | 63.00%-10.14M |
Cash from discontinued investing activities | ||||||||||
Investing cash flow | 3.45%-211.65M | 38.74%-1.1B | -69.56%-256.39M | -6.82%-344.66M | 10.28%-275.36M | 78.25%-219.2M | 0.54%-1.79B | -312.95%-151.21M | 31.94%-322.66M | 51.77%-306.93M |
Financing cash flow | ||||||||||
Cash flow from continuing financing activities | -39.87%114.4M | -60.12%442.81M | 103.61%4.39M | -16.08%209.9M | -79.03%37.31M | -76.33%190.26M | -33.67%1.11B | 52.86%-121.61M | -11.79%250.12M | -70.38%177.94M |
Net issuance payments of debt | -50.43%158.15M | -40.58%810.88M | 144.05%109.75M | -1.62%334.16M | -91.41%29.07M | -65.90%319.01M | 2,335.63%1.36B | 70.50%-249.14M | 17.41%339.66M | 187.94%338.58M |
Net common stock issuance | -25.18%1.28M | -87.99%5.23M | -33.94%946K | -97.05%1.17M | 22.28%1.41M | 30.78%1.71M | -95.58%43.55M | -99.77%1.43M | -62.31%39.66M | -99.17%1.15M |
Net preferred stock issuance | ---- | ---14.52M | --0 | ---14.52M | ---- | ---- | --0 | --0 | --0 | ---- |
Cash dividends paid | 22.36%-76.08M | 14.59%-330.82M | 21.50%-77.53M | 19.49%-77.74M | 19.53%-77.57M | -2.49%-97.99M | -22.52%-387.32M | -14.27%-98.77M | -14.37%-96.55M | -31.97%-96.4M |
Net other financing activities | 195.62%31.05M | -131.31%-27.96M | -112.80%-28.78M | -1.62%-33.17M | 229.06%84.41M | 13.51%-32.47M | -91.62%89.29M | 305.38%224.87M | -22.91%-32.64M | -107.10%-65.4M |
Cash from discontinued financing activities | ||||||||||
Financing cash flow | -39.87%114.4M | -60.12%442.81M | 103.61%4.39M | -16.08%209.9M | -79.03%37.31M | -76.33%190.26M | -33.67%1.11B | 52.86%-121.61M | -11.79%250.12M | -70.38%177.94M |
Net cash flow | ||||||||||
Beginning cash position | -24.75%76.14M | -37.30%101.19M | -19.60%126.39M | 1.87%130.68M | -13.98%106.96M | -37.30%101.19M | 24.13%161.39M | -29.44%157.21M | -46.53%128.29M | -27.59%124.35M |
Current changes in cash | 534.82%33.49M | 58.06%-24.78M | 11.88%-51.28M | -107.01%-2.13M | 267.96%23.35M | 114.03%5.28M | -278.63%-59.08M | 3.77%-58.19M | 291.84%30.37M | -90.63%6.35M |
Effect of exchange rate changes | -430.62%-1.66M | 76.31%-267K | -52.49%1.03M | -49.83%-2.17M | 115.32%369K | -10.50%503K | 33.78%-1.13M | 327.28%2.17M | -13.40%-1.45M | -604.82%-2.41M |
End cash Position | 0.94%107.97M | -24.75%76.14M | -24.75%76.14M | -19.60%126.39M | 1.87%130.68M | -13.98%106.96M | -37.30%101.19M | -37.30%101.19M | -29.44%157.21M | -46.53%128.29M |
Free cash flow | 39.64%-81.8M | 15.28%-398.14M | -676.24%-131.39M | 33.14%-146.46M | 114.43%16.2M | 16.07%-135.53M | 60.43%-469.93M | 113.63%22.8M | -26.37%-219.05M | 63.15%-112.2M |
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 | -- | -- | -- | -- | -- | -- | -- | -- |
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