(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 | -82.50%6.73M | -28.24%42.95M | 95.78%25.09M | -23.45%174.81M | 38.63%63.65M | -3.93%38.49M | -34.93%59.86M | -74.57%12.82M | 9.14%228.35M | -18.54%45.91M |
Net income from continuing operations | 159.15%10.58M | 1,095.83%27.5M | 45.43%-36.8M | -132.09%-87.41M | -96.28%679K | -155.50%-17.89M | -102.22%-2.76M | -169.16%-67.43M | -33.35%272.37M | -89.00%18.24M |
Operating gains losses | 69.26%3.18M | 41.21%3.49M | 1,218.10%5.19M | 642.56%10.79M | 450.92%6.9M | 17.61%1.88M | 164.32%2.47M | 53.46%-464K | 77.44%-1.99M | 227.47%1.25M |
Depreciation and amortization | -5.29%5M | -11.90%4.51M | 397.44%5.44M | 457.22%16.36M | 583.45%4.87M | 650.50%5.28M | 477.00%5.12M | 72.67%1.09M | 3.75%2.94M | 9.52%713K |
Deferred tax | -572.05%-2.62M | -62.60%98K | -175.86%-22K | -64.47%4.57M | -64.56%4.67M | -56.63%-390K | 515.87%262K | --29K | 292.05%12.87M | 301.55%13.18M |
Other non cash items | -100.31%-154K | -187.44%-16.83M | -41.39%62.29M | 245.71%170.78M | -226.05%-4.38M | 245.13%49.64M | 127.87%19.24M | 261.02%106.28M | 52.93%-117.21M | 102.53%3.47M |
Change In working capital | -70.77%-21.28M | -56.78%12.56M | -22.93%-26.28M | 782.85%20.79M | 827.77%25.57M | 43.42%-12.46M | 15.56%29.06M | -878.59%-21.38M | 920.56%2.36M | -847.66%-3.51M |
-Change in receivables | 56.79%-2.96M | -91.84%1.59M | 69.55%-2.24M | 106.82%1.2M | -346.37%-4.05M | 63.42%-6.85M | -10.95%19.45M | 63.02%-7.35M | -79.23%-17.65M | 46.93%-908K |
-Change in prepaid assets | -48.66%-17.62M | 1.26%3.85M | -71.09%-13.62M | -1,038.74%-10.59M | -39.03%5.42M | -39.97%-11.85M | 365.71%3.81M | -472.06%-7.96M | 117.52%1.13M | 297.07%8.89M |
-Change in payables and accrued expense | -327.49%-10.78M | 1.12%9.97M | -87.62%-8.27M | 175.06%28.26M | 369.18%25.33M | 52.59%-2.52M | 71.13%9.86M | -122.91%-4.41M | 5.93%10.27M | -221.36%-9.41M |
-Change in other current liabilities | 9.69%7.92M | -139.69%-4.48M | 12.31%-2.35M | -101.32%-85K | -536.18%-2.76M | -4.43%7.22M | -83.58%-1.87M | -930.03%-2.68M | 232.70%6.43M | 76.95%-434K |
-Change in other working capital | 40.24%2.15M | 174.31%1.63M | -80.33%201K | -7.69%2.01M | 199.51%1.64M | -47.44%1.53M | -27,250.00%-2.19M | 11.69%1.02M | -50.26%2.17M | -301.22%-1.65M |
Cash from discontinued investing activities | ||||||||||
Operating cash flow | -82.50%6.73M | -28.24%42.95M | 95.78%25.09M | -23.45%174.81M | 38.63%63.65M | -3.93%38.49M | -34.93%59.86M | -74.57%12.82M | 9.14%228.35M | -18.54%45.91M |
Investing cash flow | ||||||||||
Cash flow from continuing investing activities | -42.54%1.23M | 90.26%-2.24M | 104.34%13.71M | -1,468.39%-343.21M | 32.03%-6.32M | 105.61%2.14M | 54.24%-23.04M | -516.04%-316M | 80.85%-21.88M | 92.76%-9.3M |
Net PPE purchase and sale | 90.81%-33K | 101.31%16K | 72.30%-113K | 25.40%-2.41M | 84.01%-416K | -321.60%-359K | -106.58%-1.23M | -109.23%-408K | -187.96%-3.23M | -1,041.23%-2.6M |
Net business purchase and sale | --0 | --0 | --0 | -2,016.54%-319.36M | --0 | --0 | --0 | -2,016.54%-319.36M | ---15.09M | --0 |
Net investment purchase and sale | 151.55%1.91M | 80.74%-4.29M | 358.93%10.47M | 49.06%-41.8M | -40.22%-11.8M | 90.32%-3.7M | -22.85%-22.25M | 76.60%-4.04M | -482.04%-82.04M | -78.97%-8.42M |
Net other investing changes | -113.26%-644K | 405.24%2.03M | -56.99%3.36M | -75.40%18.97M | 242.77%5.9M | 869.57%4.86M | 101.28%401K | -92.72%7.81M | 176.88%77.1M | 101.38%1.72M |
Cash from discontinued investing activities | ||||||||||
Investing cash flow | -42.54%1.23M | 90.26%-2.24M | 104.34%13.71M | -1,468.39%-343.21M | 32.03%-6.32M | 105.61%2.14M | 54.24%-23.04M | -516.04%-316M | 80.85%-21.88M | 92.76%-9.3M |
Financing cash flow | ||||||||||
Cash flow from continuing financing activities | 70.27%-18.68M | 36.59%-28.11M | -117.10%-33.75M | 143.67%42.39M | -9.16%-47.82M | -171.06%-62.82M | 50.60%-44.33M | 480.06%197.37M | 18.04%-97.08M | -15.53%-43.81M |
Net issuance payments of debt | 114.99%4.7M | -5,245.91%-8.5M | -108.04%-18.5M | 22.48%182.48M | -177,677.78%-16M | -120.98%-31.36M | 55.46%-159K | 223,400.97%230M | 11,490.83%148.99M | 96.27%-9K |
Net common stock issuance | ---- | ---- | ---- | --0 | ---- | ---- | ---- | ---- | --0 | ---- |
Cash dividends paid | 6.29%-5.44M | -9.46%-5.31M | 53.40%-2.58M | 27.44%-21.93M | 26.79%-5.73M | 34.49%-5.81M | 36.29%-4.85M | 6.37%-5.54M | 83.42%-30.22M | -29.61%-7.83M |
Net other financing activities | 30.09%-17.94M | 63.62%-14.31M | 53.22%-12.67M | 45.26%-118.16M | 27.46%-26.09M | 50.84%-25.66M | 51.91%-39.33M | 41.00%-27.09M | 6.19%-215.85M | -13.69%-35.97M |
Cash from discontinued financing activities | ||||||||||
Financing cash flow | 70.27%-18.68M | 36.59%-28.11M | -117.10%-33.75M | 143.67%42.39M | -9.16%-47.82M | -171.06%-62.82M | 50.60%-44.33M | 480.06%197.37M | 18.04%-97.08M | -15.53%-43.81M |
Net cash flow | ||||||||||
Beginning cash position | 6.21%84.91M | -17.32%72.31M | -65.20%67.26M | 130.43%193.27M | -71.19%57.75M | -27.44%79.95M | -44.75%87.46M | 130.43%193.27M | -21.87%83.87M | 3.44%200.46M |
Current changes in cash | 51.74%-10.71M | 267.68%12.6M | 104.77%5.05M | -215.19%-126.01M | 232.14%9.51M | -124.58%-22.19M | 84.38%-7.51M | -242.19%-105.81M | 565.86%109.39M | 93.46%-7.19M |
End cash Position | 28.47%74.2M | 6.21%84.91M | -17.32%72.31M | -65.20%67.26M | -65.20%67.26M | -71.19%57.75M | -27.44%79.95M | -44.75%87.46M | 130.43%193.27M | 130.43%193.27M |
Free cash flow | -82.43%6.7M | -26.72%42.97M | 101.31%24.98M | -23.42%172.41M | 46.00%63.23M | -5.21%38.13M | -35.84%58.64M | -75.28%12.41M | 8.18%225.13M | -22.85%43.31M |
Currency Unit | USD | USD | USD | USD | USD | USD | USD | USD | USD | USD |
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