(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 | -101.58%-1.4M | 346.93%30.14M | 9.14%10.1M | 290.01%143.84M | 693.37%39.03M | 457.47%88.82M | -21.85%6.74M | 25.03%9.25M | 31.52%36.88M | -19.81%4.92M |
Net income from continuing operations | 742.17%8.16M | 62.86%11.07M | 79.02%12.51M | -42.41%20.9M | -7.91%8.38M | -112.45%-1.27M | -22.94%6.8M | -14.33%6.99M | 2.42%36.29M | 16.09%9.1M |
Operating gains losses | -69.54%375K | 634.71%909K | -418.18%-210K | 2,092.91%5.9M | 119,400.00%4.77M | 61,650.00%1.23M | 32.81%-170K | 278.38%66K | 82.98%-296K | 98.98%-4K |
Depreciation and amortization | 26.02%1.11M | 131.73%1.11M | 147.48%1.03M | 83.10%2.85M | 159.18%1.07M | 117.82%880K | 27.73%479K | 14.88%417K | -1.46%1.56M | 15.97%414K |
Deferred tax | -100.01%-1K | ---- | ---- | -11.17%318K | -2,303.63%-7.89M | --8.21M | ---- | ---- | -45.68%358K | --358K |
Other non cashItems | -105.40%-4.46M | 526.45%18.07M | -386.43%-3.99M | 4,342.28%113.78M | 708.59%26.94M | 317,453.85%82.56M | -3.74%2.89M | 208.91%1.39M | 52.32%-2.68M | 7.31%-4.43M |
Change in working capital | 9.40%-8.48M | 102.90%105K | 394.04%1.58M | -945.80%-7.35M | 671.05%6.17M | -271.23%-9.36M | 8.74%-3.62M | -218.81%-537K | -76.78%869K | -140.58%-1.08M |
-Change in receivables | 136.31%812K | 1,025.26%879K | -8.04%-430K | -9.30%-2.71M | 101.18%15K | -157.01%-2.24M | 59.05%-95K | -246.09%-398K | -318.00%-2.48M | -2,914.29%-1.27M |
-Change in payables and accrued expense | 200.86%819K | 168.04%247K | 60.00%1.2M | -201.83%-834K | -228.62%-409K | -237.16%-812K | 26.07%-363K | 87.50%750K | 599.39%819K | 175.36%318K |
-Change in other current assets | 67.40%-3.17M | -193.26%-1.11M | 78.21%-480K | -842.93%-7.46M | 56.75%3.27M | -212.43%-9.71M | 117.11%1.19M | 20.61%-2.2M | 153.95%1M | 535.77%2.08M |
-Change in other current liabilities | -304.80%-6.95M | 101.98%86K | -1.90%1.29M | 139.18%3.66M | 249.01%3.3M | 217.45%3.39M | -217.88%-4.35M | -55.34%1.31M | -66.97%1.53M | -161.45%-2.22M |
Cash from discontinued operating activities | ||||||||||
Operating cash flow | -101.58%-1.4M | 346.93%30.14M | 9.14%10.1M | 290.01%143.84M | 693.37%39.03M | 457.47%88.82M | -21.85%6.74M | 25.03%9.25M | 31.52%36.88M | -19.81%4.92M |
Investing cash flow | ||||||||||
Cash flow from continuing investing activities | -139.78%-58.13M | 20.44%-29.28M | 141.80%22.29M | 108.72%20.33M | 53.24%-35.71M | 506.55%146.15M | 57.28%-36.79M | -54.01%-53.33M | -3,411.67%-233.08M | -860.75%-76.37M |
Proceeds payment in interest bearing deposits in bank | 100.00%498K | ---245K | --0 | -66.13%297K | ---498K | 0.00%249K | --0 | 26.98%546K | -60.15%877K | --0 |
Net investment purchase and sale | -87.77%8.52M | -158.86%-3.35M | -104.12%-349K | 257.49%52.55M | -122.90%-31.28M | 1,253.93%69.65M | 137.97%5.7M | 398.24%8.48M | 15.15%-33.37M | -215.07%-14.03M |
Net proceeds payment for loan | -227.80%-85.66M | 48.79%-23.64M | 140.19%22.14M | 69.13%-64.92M | 57.81%-30.68M | 326.35%67.03M | 34.56%-46.17M | -47.27%-55.09M | -403.70%-210.29M | 21.42%-72.72M |
Net PPE purchase and sale | 220.64%678K | -11.55%-570K | 73.01%-350K | -63.45%-3.12M | 0.53%-747K | -40.15%-562K | 13.10%-511K | -676.65%-1.3M | -442.99%-1.91M | -1,606.82%-751K |
Net other investing changes | -31.50%17.84M | -134.91%-1.46M | 114.23%849K | 205.90%35.52M | 1.07%11.25M | 17,343.05%26.04M | 2,330.85%4.19M | -829.34%-5.97M | 1,116.64%11.61M | 758.21%11.13M |
Cash from discontinued investing activities | ||||||||||
Investing cash flow | -139.78%-58.13M | 20.44%-29.28M | 141.80%22.29M | 108.72%20.33M | 53.24%-35.71M | 506.55%146.15M | 57.28%-36.79M | -54.01%-53.33M | -3,411.67%-233.08M | -860.75%-76.37M |
Financing cash flow | ||||||||||
Cash flow from continuing financing activities | 155.28%131.07M | -78.72%10.93M | -139.61%-31.37M | -137.07%-62.13M | -50.56%44.42M | -708.65%-237.11M | 417.48%51.36M | 44.07%79.2M | 599.66%167.6M | 334.53%89.85M |
Increase decrease in deposit | 178.63%82.26M | -101.97%-3.12M | 105.09%2.65M | -99.42%1.05M | -100.29%-303K | -517.65%-104.61M | 1,344.07%158.1M | -182.33%-52.13M | 63.00%179.44M | 421.09%103.78M |
Net issuance payments of debt | 138.15%49.98M | 115.44%15.45M | -124.55%-32.53M | -1,108.92%-52.58M | 461.56%46M | -932.98%-131.02M | -57,925.43%-100.04M | 1,859.65%132.48M | 94.52%-4.35M | -160.70%-12.72M |
Net commonstock issuance | --0 | ---- | ---- | -57.07%-5.54M | --0 | --0 | ---- | ---- | 14.78%-3.52M | ---84K |
Cash dividends paid | -1.00%-1.51M | -29.89%-1.51M | -28.53%-1.5M | -13.70%-5.32M | -28.39%-1.5M | -28.11%-1.5M | 1.44%-1.16M | 0.09%-1.17M | -59.37%-4.68M | 0.17%-1.17M |
Proceeds from stock option exercised by employees | 2,043.75%343K | --109K | --0 | -64.39%256K | 409.09%224K | -84.00%16K | --0 | -95.49%16K | 197.11%719K | -24.14%44K |
Cash from discontinued financing activities | ||||||||||
Financing cash flow | 155.28%131.07M | -78.72%10.93M | -139.61%-31.37M | -137.07%-62.13M | -50.56%44.42M | -708.65%-237.11M | 417.48%51.36M | 44.07%79.2M | 599.66%167.6M | 334.53%89.85M |
Net cash flow | ||||||||||
Beginning cash position | 32.03%240.76M | 42.18%228.96M | 81.03%227.95M | -18.50%125.92M | 67.61%180.21M | 105.87%182.35M | -11.64%161.04M | -18.50%125.92M | 61.83%154.51M | -44.76%107.52M |
Current changes in cash | 3,436.71%71.54M | -44.65%11.8M | -97.12%1.01M | 456.88%102.04M | 159.48%47.74M | -111.32%-2.14M | 122.75%21.31M | 26.58%35.13M | -148.43%-28.59M | 145.85%18.4M |
End cash position | 73.30%312.3M | 32.03%240.76M | 42.18%228.96M | 81.03%227.95M | 81.03%227.95M | 67.61%180.21M | 105.87%182.35M | -11.64%161.04M | -18.50%125.92M | -18.50%125.92M |
Free cash flow | -102.05%-1.81M | 374.43%29.57M | 22.54%9.75M | 302.37%140.72M | 818.40%38.28M | 468.24%88.25M | -22.49%6.23M | 9.98%7.95M | 25.57%34.97M | -31.56%4.17M |
Currency Unit | USD | USD | USD | USD | USD | USD | USD | USD | USD | USD |
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