(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 | 21.52%49.36M | -4.53%17.16M | 1,015.32%36.47M | 212.49%58.56M | -190.94%-3.3M | 40.62M | 354.01%17.97M | 195.67%3.27M | 29.36%18.74M | -90.36%3.63M |
Net income from continuing operations | 93.22%-7.69M | -17.75%-51.18M | 92.61%-2.06M | 16.67%-179.85M | 102.70%4.87M | ---113.45M | -423.90%-43.46M | -17.47%-27.81M | 27.28%-215.84M | -1,416.44%-180.62M |
Operating gains losses | 763.79%385K | 118.00%545K | -357.46%-345K | -84.59%790K | 710.53%464K | ---58K | -92.86%250K | -89.27%134K | 178.61%5.13M | 98.86%-76K |
Depreciation and amortization | -2.26%16.62M | 4.75%16.44M | 18.09%17.3M | 20.06%69.3M | 36.55%21.96M | --17.01M | 4.84%15.7M | 21.28%14.65M | 28.42%57.73M | 69.48%16.08M |
Deferred tax | 98.06%-482K | 19,427.61%63.66M | 195.34%941K | -603.40%-32.66M | -261.68%-7.12M | ---24.88M | 119.46%326K | -374.52%-987K | 86.71%-4.64M | -21.88%4.41M |
Other non cash items | 11.99%1.26M | -7.69%1.21M | -0.08%1.2M | 138.59%3.86M | -84.33%219K | --1.13M | 130.80%1.31M | -81.75%1.21M | -264.07%-10.01M | 137.88%1.4M |
Change In working capital | 58.56%33.98M | -184.94%-14.61M | 129.52%10.6M | 13.11%15.22M | -389.91%-28.03M | --21.43M | 190.60%17.2M | 162.81%4.62M | 146.28%13.45M | -57.99%9.67M |
-Change in receivables | 33.85%-1.41M | 57.84%-4.43M | -48.68%1.96M | 63.66%-5.37M | 168.21%3.46M | ---2.13M | -317.98%-10.51M | 157.62%3.82M | -34.77%-14.78M | -261.57%-5.07M |
-Change in inventory | -9.56%2.33M | -66.01%4.13M | 802.69%2.68M | 980.47%23.49M | -29.01%8.48M | --2.57M | 41,972.41%12.14M | 101.50%297K | 85.52%-2.67M | 483.39%11.94M |
-Change in prepaid assets | -93.13%119K | 255.86%1.36M | -176.17%-1.29M | 157.58%2.6M | --48K | --1.73M | ---870K | --1.69M | ---4.51M | ---- |
-Change in payables and accrued expense | 32.62%34.93M | -158.81%-13.76M | 60.98%9.15M | -60.86%22.5M | -484.04%-32.92M | --26.34M | 285.35%23.4M | -75.49%5.68M | 149.32%57.48M | -66.13%8.57M |
-Change in other current liabilities | 72.05%-1.98M | 72.60%-1.91M | 72.22%-1.91M | -26.86%-28M | -6.70%-7.1M | ---7.08M | -37.31%-6.96M | -46.50%-6.87M | -33.57%-22.07M | -48.67%-6.66M |
Cash from discontinued investing activities | ||||||||||
Operating cash flow | 21.52%49.36M | -4.53%17.16M | 1,015.32%36.47M | 212.49%58.56M | -190.94%-3.3M | 58.65%40.62M | 354.01%17.97M | 195.67%3.27M | 29.36%18.74M | -90.36%3.63M |
Investing cash flow | ||||||||||
Cash flow from continuing investing activities | 49.75%-6.27M | 26.90%-10.27M | 72.53%-5.68M | -21.89%-44.59M | 120.95%2.61M | -12.48M | -4.94%-14.05M | 39.60%-20.67M | 77.69%-36.58M | 80.57%-12.45M |
Net PPE purchase and sale | 28.19%-5.46M | 62.07%-6.04M | 81.59%-3.78M | -50.35%-52.79M | 31.02%-8.73M | ---7.6M | -59.91%-15.92M | 42.27%-20.55M | 42.17%-35.11M | -30.98%-12.66M |
Net intangibles purchase and sale | 74.95%-229K | -15.40%-712K | -359.37%-2.77M | 19.58%-2.5M | -93.62%-364K | ---914K | -23.65%-617K | 68.03%-603K | 2.27%-3.11M | 63.28%-188K |
Net business purchase and sale | --0 | ---- | ---- | --0 | --0 | --0 | ---- | ---- | 98.50%-1.14M | --0 |
Net other investing changes | ---- | -111.72%-291K | 81.91%875K | 285.59%10.7M | 2,885.71%11.7M | ---3.96M | --2.48M | -66.92%481K | 111.43%2.78M | --392K |
Cash from discontinued investing activities | ||||||||||
Investing cash flow | 49.75%-6.27M | 26.90%-10.27M | 72.53%-5.68M | -21.89%-44.59M | 120.95%2.61M | -153.13%-12.48M | -4.94%-14.05M | 39.60%-20.67M | 77.69%-36.58M | 80.57%-12.45M |
Financing cash flow | ||||||||||
Cash flow from continuing financing activities | -124.51%-2.46M | 18.99%-15.83M | 18.23%-11.15M | 68.94%-26.91M | -86.21%-3.78M | 10.05M | 71.73%-19.54M | -114.22%-13.64M | -136.87%-86.64M | 14.48%-2.03M |
Net issuance payments of debt | -105.05%-963K | -15.01%-927K | -14.19%-885K | 787.96%16.69M | -19.55%-795K | --19.07M | -38.01%-806K | -39.39%-775K | -101.51%-2.43M | -62.99%-665K |
Net common stock issuance | --0 | --0 | ---200K | ---- | ---- | --0 | --0 | --0 | ---- | ---- |
Proceeds from stock option exercised by employees | --0 | --7K | --2K | --0 | --0 | --0 | --0 | --0 | -84.00%3.22M | --0 |
Net other financing activities | 83.35%-1.5M | 20.42%-14.91M | 21.73%-10.07M | 50.14%-43.6M | -118.67%-2.99M | ---9.01M | 72.90%-18.74M | -56.20%-12.86M | -25.00%-87.43M | 62.27%-1.37M |
Cash from discontinued financing activities | ||||||||||
Financing cash flow | -124.51%-2.46M | 18.99%-15.83M | 18.23%-11.15M | 68.94%-26.91M | -86.21%-3.78M | 210.32%10.05M | 71.73%-19.54M | -114.22%-13.64M | -136.87%-86.64M | 14.48%-2.03M |
Net cash flow | ||||||||||
Beginning cash position | 59.34%119.2M | 41.68%128.15M | -10.69%108.52M | -46.26%121.51M | -14.59%113.02M | -18.98%74.81M | -50.28%90.45M | -46.26%121.51M | 60.61%226.1M | -48.07%132.32M |
Current changes in cash | 6.37%40.63M | 42.75%-8.94M | 163.30%19.65M | 87.63%-12.93M | 58.77%-4.48M | -4.45%38.2M | 82.57%-15.62M | 29.47%-31.03M | -222.11%-104.48M | 62.35%-10.85M |
Effect of exchange rate changes | -457.14%-25K | 56.52%-10K | 48.00%-13K | 45.13%-62K | -147.73%-21K | -30.00%7K | -276.92%-23K | 86.11%-25K | 51.08%-113K | -67.16%44K |
End cash Position | 41.40%159.81M | 59.34%119.2M | 41.68%128.15M | -10.69%108.52M | -10.69%108.52M | -14.59%113.02M | -18.98%74.81M | -50.28%90.45M | -46.26%121.51M | -46.26%121.51M |
Free cash flow | 57.99%43.06M | 4,823.58%10.01M | 267.34%29.92M | 101.01%681K | 12.44%-8.48M | 6.45%27.26M | 99.00%-212K | 56.28%-17.88M | 18.38%-67.39M | -148.92%-9.69M |
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 |
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