(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 | |
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Operating Cash Flow (Indirect Method) | ||||||||||
Cash flow from continuing operating activities | -21.49%19M | -79.59%2.34M | 90.23%13.44M | 46.71%65.93M | 12.51%23.18M | 11.03%24.2M | 61.22%11.48M | 254.12%7.07M | 450.73%44.94M | 288.90%20.6M |
Net income from continuing operations | -1,483.22%-159.42M | -64.09%6.29M | 8.42%2.32M | 151.28%34.76M | 3.72%3.57M | 40.33%11.53M | 171.34%17.53M | 149.98%2.14M | 1,469.60%13.83M | 196.41%3.44M |
Depreciation and amortization | -4.44%8.72M | -3.99%8.74M | -3.93%8.71M | -28.71%36.51M | 23.24%9.21M | -16.47%9.13M | -44.75%9.1M | -44.49%9.07M | 303.40%51.21M | 115.36%7.48M |
Deferred tax | 286.78%6.03M | -254.77%-746K | -406.74%-546K | 261.94%970K | -223.20%-1.25M | 207.60%1.56M | -81.10%482K | 106.56%178K | 67.55%-599K | 406.50%1.01M |
Other non cash items | 163.37%929K | 294.29%414K | -197.75%-795K | -85.17%372K | 4.77%2M | -683.96%-1.47M | -70.51%105K | -161.95%-267K | 1,367.25%2.51M | 997.13%1.91M |
Change In working capital | 1,260.19%13.22M | 18.91%-14.14M | 124.25%2.2M | 39.90%-19.27M | 74.28%6.27M | -52.65%972K | 17.01%-17.43M | 45.68%-9.08M | -9.11%-32.07M | 127.98%3.6M |
-Change in receivables | -40.77%3.41M | -422.05%-13.83M | 106.56%962K | 51.82%-11.13M | -67.78%423K | 365.13%5.76M | 82.06%-2.65M | -96.04%-14.66M | -136.54%-23.11M | 208.78%1.31M |
-Change in inventory | 126.79%10.19M | 74.06%-2.93M | 73.94%-5.91M | 71.98%-9.46M | 914.62%20M | 400.20%4.49M | -13.47%-11.28M | -14.09%-22.68M | -171.43%-33.77M | -34.89%-2.46M |
-Change in prepaid assets | -104.01%-326K | -107.01%-345K | 167.20%3.02M | 71.30%15.62M | -73.36%1.43M | 215.88%8.13M | 41.18%4.92M | 148.67%1.13M | 146.97%9.12M | 252.85%5.38M |
-Change in payables and accrued expense | 63.82%-4.79M | 156.72%5.71M | -76.75%6.52M | -183.78%-3.77M | -233.80%-8.51M | -311.55%-13.24M | -62.07%-10.06M | 300.60%28.04M | -57.59%4.5M | 13.85%-2.55M |
-Change in other working capital | 213.49%4.74M | -268.45%-2.74M | -163.91%-2.39M | -194.13%-10.53M | -471.30%-7.08M | -34.09%-4.17M | -74.63%1.63M | -115.18%-906K | 593.30%11.18M | 157.00%1.91M |
Cash from discontinued investing activities | ||||||||||
Operating cash flow | -21.49%19M | -79.59%2.34M | 90.23%13.44M | 46.71%65.93M | 12.51%23.18M | 11.03%24.2M | 61.22%11.48M | 254.12%7.07M | 450.73%44.94M | 288.90%20.6M |
Investing cash flow | ||||||||||
Cash flow from continuing investing activities | 23.62%-5.68M | 53.92%-2.45M | 533.56%9.65M | -34.29%-28.1M | -72.42%-13.13M | 2.58%-7.44M | -28.17%-5.31M | -44.92%-2.23M | 92.19%-20.93M | 94.69%-7.62M |
Net PPE purchase and sale | -143.42%-5.68M | 15.50%-2.45M | -33.33%-2.97M | 15.61%-15.63M | -12.84%-8.18M | 52.94%-2.33M | 39.45%-2.9M | -44.92%-2.23M | -142.43%-18.52M | -213.50%-7.25M |
Net business purchase and sale | ---- | ---- | ---- | --0 | ---- | ---- | ---- | ---- | 99.08%-2.4M | 99.86%-370K |
Net investment purchase and sale | --0 | --0 | --12.62M | ---12.47M | ---4.96M | ---5.1M | ---2.41M | --0 | --0 | --0 |
Cash from discontinued investing activities | ||||||||||
Investing cash flow | 23.62%-5.68M | 53.92%-2.45M | 533.56%9.65M | -34.29%-28.1M | -72.42%-13.13M | 2.58%-7.44M | -28.17%-5.31M | -44.92%-2.23M | 92.19%-20.93M | 94.69%-7.62M |
Financing cash flow | ||||||||||
Cash flow from continuing financing activities | -72.48%-13.7M | 25.22%-5.43M | -211.58%-34.3M | -16.39%-33.18M | -22.38%-6.97M | -12.73%-7.94M | -12.87%-7.26M | -17.91%-11.01M | -110.09%-28.51M | -103.85%-5.7M |
Net issuance payments of debt | -166.67%-10M | -6.67%-4M | -340.00%-27.5M | -16.67%-17.5M | 0.00%-3.75M | 0.00%-3.75M | 0.00%-3.75M | -66.67%-6.25M | -110.85%-15M | -102.50%-3.75M |
Net common stock issuance | 69.43%-48K | -41.41%116K | 56.61%-936K | -110.39%-2.17M | -182.26%-51K | -7,950.00%-157K | 3,400.00%198K | -98.25%-2.16M | -100.70%-1.03M | -63.95%62K |
Net other financing activities | 9.54%-3.65M | 58.31%-1.55M | -125.38%-5.86M | -8.29%-13.52M | -57.87%-3.17M | -22.39%-4.03M | -38.52%-3.71M | 42.18%-2.6M | -434.02%-12.48M | ---2.01M |
Cash from discontinued financing activities | ||||||||||
Financing cash flow | -72.48%-13.7M | 25.22%-5.43M | -211.58%-34.3M | -16.39%-33.18M | -22.38%-6.97M | -12.73%-7.94M | -12.87%-7.26M | -17.91%-11.01M | -110.09%-28.51M | -103.85%-5.7M |
Net cash flow | ||||||||||
Beginning cash position | -22.20%14.57M | 4.06%20.44M | 23.45%31.04M | -18.39%25.14M | 51.79%28.06M | 58.42%18.72M | 27.78%19.65M | -18.39%25.14M | 9.31%30.81M | -50.06%18.49M |
Current changes in cash | -104.24%-374K | -405.94%-5.54M | -81.66%-11.21M | 203.20%4.64M | -57.78%3.08M | 23.94%8.83M | 68.36%-1.09M | 60.09%-6.17M | -328.77%-4.5M | 214.57%7.29M |
Effect of exchange rate changes | -37.40%318K | -300.00%-342K | -9.24%609K | 207.38%1.25M | 84.49%-98K | 211.40%508K | 272.73%171K | 3,095.24%671K | -277.74%-1.17M | -513.07%-632K |
End cash Position | -48.29%14.51M | -22.20%14.57M | 4.06%20.44M | 23.45%31.04M | 23.45%31.04M | 51.79%28.06M | 58.42%18.72M | 27.78%19.65M | -18.39%25.14M | -18.39%25.14M |
Free cash flow | -40.94%12.92M | -102.38%-204K | 116.41%10.47M | 89.56%49.95M | 10.28%14.66M | 29.87%21.87M | 267.27%8.58M | 179.07%4.84M | 222.73%26.35M | 200.58%13.29M |
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 | -- | -- | -- | -- | Qualified Opinion – Accounting Method Change | -- |
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