(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 | (Q3)Sep 30, 2022 | |
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Operating Cash Flow (Indirect Method) | ||||||||||
Cash flow from continuing operating activities | 10.86%1.56B | 560.65%1.02B | 37.77%5.57B | -12.23%3.22B | -2.83%790M | 187.55%1.41B | 116.77%155M | 575.65%4.04B | 441.21%3.66B | -44.47%813M |
Net income from continuing operations | -13.07%1.52B | -75.10%1.55B | 1,235.72%9.03B | -11.03%1.59B | -114.29%-525M | 254.75%1.74B | 614.56%6.22B | 83.90%-795M | 181.52%1.79B | -120.68%-245M |
Operating gains losses | 450.97%544M | 82.73%-1.11B | -16,968.89%-7.59B | 35.89%-927M | -197.06%-99M | -111.38%-155M | -23,840.74%-6.41B | -99.02%45M | -132.52%-1.45B | 264.52%102M |
Depreciation and amortization | -29.58%50M | 3.16%523M | -28.36%2.08B | -7.77%534M | 100.62%967M | -86.24%71M | -61.74%507M | 22.97%2.9B | 426.36%579M | -33.61%482M |
Deferred tax | -73.98%51M | 17.34%318M | 38,833.33%1.16B | 304.37%421M | 2,007.69%274M | 21.74%196M | 834.48%271M | 99.60%-3M | 52.53%-206M | 550.00%13M |
Other non cashItems | -6.60%-549M | -272.47%-307M | -45.22%401M | -40.70%322M | -39.88%416M | -22.91%-515M | 311.90%178M | 149.49%732M | 117.29%543M | 529.09%692M |
Change In working capital | -164.23%-246M | 134.69%153M | 2.89%1.64B | -36.30%1.62B | 169.09%76M | 158.78%383M | 55.41%-441M | 672.66%1.59B | 110.17%2.54B | 61.54%-110M |
-Change in receivables | 94.95%-56M | -80.36%163M | 142.17%450M | -176.46%-445M | 235.76%1.17B | -70.99%-1.11B | 705.84%830M | -169.69%-1.07B | 266.04%582M | -802.44%-864M |
-Change in inventory | -97.53%15M | 4.63%-1.22B | 20.83%-1.52B | 131.23%696M | -341.19%-1.55B | 153.24%608M | -74.18%-1.28B | -529.08%-1.93B | -65.72%301M | -341.10%-352M |
-Change in payables and accrued expense | -18.35%316M | 155.22%111M | -109.88%-221M | -214.10%-615M | -64.51%208M | -72.44%387M | 31.40%-201M | 673.33%2.24B | 341.70%539M | 259.67%586M |
-Change in other working capital | -205.04%-521M | 434.15%1.1B | 24.91%2.93B | 76.98%1.98B | -52.31%248M | -7.12%496M | 18.50%205M | 310.96%2.35B | 183.08%1.12B | 376.60%520M |
Tax refund paid | 162.42%196M | 38.95%-105M | -166.98%-1.15B | -153.33%-342M | -164.46%-320M | -109.33%-314M | -616.67%-172M | -15.28%-430M | -120.00%-135M | 42.65%-121M |
Cash from discontinued investing activities | 29.84%-649M | 92.25%-32M | -120.88%-391M | -109.10%-76M | 67.70%1.02B | -1,667.80%-925M | -211.92%-413M | -56.76%1.87B | -56.17%835M | -30.44%610M |
Operating cash flow | 88.25%913M | 483.01%992M | -12.46%5.18B | -30.18%3.14B | 27.34%1.81B | -11.82%485M | 53.42%-259M | 69.95%5.92B | 74.31%4.5B | -39.21%1.42B |
Investing cash flow | ||||||||||
Cash flow from continuing investing activities | -373.68%-2.76B | -39.64%769M | -36.30%6.94B | -81.99%1.59B | 359.43%3.07B | -30.12%1.01B | 3,638.89%1.27B | 214.31%10.89B | 1,488.83%8.82B | -52.05%668M |
Net PPE purchase and sale | 37.25%-32M | -30.58%-380M | -55.58%-1.51B | -59.88%-518M | -293.90%-646M | 81.04%-51M | -37.91%-291M | -0.62%-968M | -66.15%-324M | 39.93%-164M |
Net business purchase and sale | -96.69%74M | 28.89%2.61B | 83.73%8.64B | 204.49%1.97B | 782.42%2.41B | -9.79%2.24B | 55.53%2.03B | 15.36%4.7B | -43.38%646M | -78.25%273M |
Net investment purchase and sale | 0.57%176M | 26.67%-1.14B | -12.56%-986M | -18.85%254M | -15.57%141M | 1,558.33%175M | -15.77%-1.56B | 32.09%-876M | 340.77%313M | 440.82%167M |
Net other investing changes | -119.88%-2.98B | -129.16%-319M | -90.17%790M | -101.43%-117M | 196.69%1.17B | -73.24%-1.35B | 359.66%1.09B | 389.22%8.03B | 2,528.19%8.18B | -19.47%393M |
Cash from discontinued investing activities | -348.21%-1.53B | 101.24%38M | 65.67%-2.96B | 101.20%98M | -0.66%-606M | 16.67%616M | -653.81%-3.07B | -148.13%-8.62B | -139.52%-8.14B | 43.21%-602M |
Investing cash flow | -363.75%-4.29B | 144.99%808M | 75.20%3.98B | 148.38%1.68B | 3,577.61%2.46B | -17.47%1.63B | -304.50%-1.8B | -89.38%2.27B | -96.79%678M | -79.82%67M |
Financing cash flow | ||||||||||
Cash flow from continuing financing activities | -149.33%-2.79B | 96.10%-204M | 22.47%-10.61B | 95.43%-395M | -98.16%-3.87B | 32.39%-1.12B | -265.48%-5.23B | 69.75%-13.69B | 73.59%-8.65B | -295.14%-1.95B |
Net issuance payments of debt | 64.28%-279M | 81.44%-335M | 69.42%-3.4B | 98.14%-149M | 40.80%-669M | -2.76%-781M | -47.71%-1.81B | 69.80%-11.13B | 69.88%-8.02B | -775.97%-1.13B |
Net common stock issuance | -612.38%-2.3B | -4.21%-322M | -17.65%-1.23B | 20.00%-288M | 1.57%-313M | 2.42%-323M | -692.31%-309M | -879.44%-1.05B | -1,700.00%-360M | -6,260.00%-318M |
Net preferred stock issuance | --0 | --0 | -3,924.31%-5.8B | --0 | -2,587.50%-2.8B | --0 | ---3B | ---144M | ---40M | ---104M |
Cash dividends paid | -109.52%-308M | 57.64%-86M | 7.82%-589M | 52.17%-88M | 6.21%-151M | 4.55%-147M | -45.00%-203M | -11.13%-639M | -27.78%-184M | -15.83%-161M |
Net other financing activities | -26.32%98M | 526.74%539M | 156.20%408M | 374.47%129M | 125.10%60M | 132.44%133M | 386.67%86M | 90.60%-726M | 99.21%-47M | -8.14%-239M |
Cash from discontinued financing activities | -122.73%-98M | 0 | -75.31%2B | -99.99%1M | 225.71%44M | -69.23%-44M | 7,239.29%2B | 5,887.14%8.1B | 3,498.76%8.19B | -135.35%-35M |
Financing cash flow | -148.54%-2.89B | 93.69%-204M | -54.22%-8.61B | 13.76%-395M | -92.45%-3.82B | 30.87%-1.16B | -121.52%-3.23B | 87.70%-5.59B | 98.61%-458M | -403.04%-1.99B |
Net cash flow | ||||||||||
Beginning cash position | 56.80%19.9B | 3.47%19.76B | 13.25%19.09B | 10.55%13.87B | -11.36%11.73B | -3.13%12.69B | 13.25%19.09B | -55.17%16.86B | -51.30%12.55B | -43.65%13.23B |
Current changes in cash | -541.56%-6.27B | 103.17%205M | -3,176.92%-852M | 16.78%4.28B | 802.43%2.31B | -404.36%-977M | -75.56%-6.47B | 99.88%-26M | 136.08%3.67B | -113.82%-329M |
Effect of exchange rate changes | -685.71%-82M | -193.85%-61M | 132.52%120M | -16.93%211M | 52.38%-170M | 107.33%14M | 186.67%65M | -73.24%-369M | 429.87%254M | -260.61%-357M |
End cash Position | 15.53%13.55B | 56.80%19.9B | 11.52%18.36B | 11.52%18.36B | 10.55%13.87B | -11.36%11.73B | -3.13%12.69B | 6.03%16.46B | 6.03%16.46B | -51.30%12.55B |
Free cash from | 112.47%835M | 202.51%571M | -24.42%3.58B | -36.72%2.61B | -2.90%1.14B | 50.00%393M | 31.82%-557M | 100.25%4.74B | 69.03%4.13B | -41.91%1.17B |
Audit Opinions | -- | -- | Unqualified Opinion | -- | -- | -- | -- | Unqualified Opinion | -- | -- |
FY: Financial Year. Refers to the 10-K file disclosed by the listed company to the SEC.
Q: Quarter. Refers to the 10-Q file disclosed by the listed company to the SEC. Q1, Q2, Q3, and Q4 are quarterly reports each with a span of 3 months; Q6 and Q9 are cumulative reports, with Q6 including 6 months and Q9 9 months.
No Data