(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 | 20.31%125.51M | 16.19%80.23M | 4.63%53.08M | 139.32%360.62M | 107.91%136.52M | 51.46%104.32M | 124.14%69.05M | 446.07%50.73M | -44.00%150.69M | 10.28%65.66M |
Net income from continuing operations | 19.64%64.14M | 40.72%65.54M | 81.07%40.42M | 33.84%232.75M | 55.74%110.24M | 46.42%53.62M | -24.61%46.57M | 372.40%22.32M | -20.94%173.91M | 1.28%70.79M |
Operating gains losses | 40.16%-5.9M | 5.13%-6.46M | 17.20%-5.76M | 32.47%-32.61M | -173.95%-9M | 39.94%-9.85M | 82.77%-6.81M | -52.67%-6.95M | -4.12%-48.29M | 310.43%12.17M |
Depreciation and amortization | -3.11%22.93M | -6.49%22.78M | -1.73%22.93M | 2.99%95.35M | 0.12%23.99M | -2.38%23.67M | 20.08%24.36M | -3.13%23.33M | 38.20%92.58M | 46.18%23.96M |
Other non cash items | -237.03%-1.83M | 6.79%-1.35M | -1,336.14%-1.03M | -40.21%2.28M | -34.87%2.31M | 151.33%1.33M | -109.91%-1.44M | 100.71%83K | -44.24%3.82M | 8.27%3.55M |
Change In working capital | 57.76%29.16M | 11.73%-17.32M | -1,941.62%-19.34M | 93.52%-7.17M | 87.96%-7.09M | 4.12%18.49M | 44.42%-19.62M | 103.06%1.05M | -19,991.29%-110.7M | -83.63%-58.88M |
-Change in receivables | -51.88%-7.67M | -151.88%-3.62M | 25.75%64.83M | -219.46%-24.96M | -45.33%-78.45M | -140.61%-5.05M | -67.52%6.99M | 25.96%51.56M | 142.44%20.89M | 20.95%-53.98M |
-Change in payables and accrued expense | 35.34%26.54M | 52.42%-10.57M | -62.98%-93.07M | 93.42%-7.32M | 1,138.81%52.38M | 33.28%19.61M | 51.00%-22.2M | 24.44%-57.1M | -380.17%-111.22M | -120.68%-5.04M |
-Change in other current assets | 135.19%5.94M | -470.27%-1.27M | 202.83%2.36M | 90.72%-2.15M | -191.85%-2.16M | 119.01%2.53M | 96.06%-222K | 65.47%-2.3M | -339.02%-23.22M | -70.20%2.36M |
-Change in other working capital | 210.94%4.35M | 55.43%-1.86M | -26.47%6.54M | 858.51%27.26M | 1,057.84%21.15M | -64.11%1.4M | 28.53%-4.18M | 26.97%8.89M | -80.05%2.84M | -156.07%-2.21M |
Cash from discontinued investing activities | ||||||||||
Operating cash flow | 20.31%125.51M | 16.19%80.23M | 4.63%53.08M | 139.32%360.62M | 107.91%136.52M | 51.46%104.32M | 124.14%69.05M | 446.07%50.73M | -44.00%150.69M | 10.28%65.66M |
Investing cash flow | ||||||||||
Cash flow from continuing investing activities | -9.79%-101.29M | -9.46%-29.78M | -399.40%-66.39M | -117.09%-159.69M | -1,187.52%-62.4M | -4,978.79%-92.26M | -1,065.06%-27.21M | 126.40%22.18M | 59.32%-73.56M | 111.22%5.74M |
Capital expenditure reported | -22.86%-7.06M | -58.73%-7.63M | -7.34%-6.42M | 38.67%-22.67M | 33.02%-6.13M | 34.72%-5.75M | 53.89%-4.81M | 30.24%-5.99M | -6.71%-36.96M | 15.94%-9.15M |
Net business purchase and sale | ---- | ---- | ---- | --0 | ---- | ---- | ---- | ---- | ---515.59M | ---287K |
Net investment purchase and sale | -5.85%-94.17M | 7.04%-22.96M | -314.91%-60.52M | -129.75%-141.78M | -470.77%-56.27M | -1,019.99%-88.96M | -319.48%-24.7M | -93.61%28.16M | 417.91%476.5M | 136.58%15.18M |
Net other investing changes | -102.57%-63K | --811K | --551K | 91.54%4.75M | --0 | 139.22%2.45M | ---- | ---- | -33.21%2.48M | --0 |
Cash from discontinued investing activities | ||||||||||
Investing cash flow | -9.79%-101.29M | -9.46%-29.78M | -399.40%-66.39M | -117.09%-159.69M | -1,187.52%-62.4M | -4,978.79%-92.26M | -1,065.06%-27.21M | 126.40%22.18M | 59.32%-73.56M | 111.22%5.74M |
Financing cash flow | ||||||||||
Cash flow from continuing financing activities | -95.31%-42.3M | -6.41%-33.66M | -17.35%-68.68M | 23.86%-132.71M | 49.12%-20.89M | 46.56%-21.66M | 22.46%-31.63M | -12.73%-58.53M | -217.23%-174.31M | -242.42%-41.07M |
Net common stock issuance | ---18.34M | 25.83%-9.55M | -5.66%-32.46M | 57.59%-44.55M | 96.19%-962K | --0 | 49.40%-12.87M | -5.81%-30.72M | -4,380.89%-105.05M | -1,128.93%-25.25M |
Cash dividends paid | -18.18%-21.47M | -18.12%-21.41M | -23.57%-18.62M | -22.32%-69.46M | -21.41%-18.1M | -21.24%-18.17M | -20.39%-18.13M | -27.28%-15.07M | -25.26%-56.79M | -27.34%-14.91M |
Net other financing activities | 28.58%-2.49M | -327.37%-2.7M | -38.18%-17.61M | -49.99%-18.69M | -102.66%-1.83M | -1,578.85%-3.49M | -109.97%-632K | -15.28%-12.74M | -3.31%-12.46M | -215.38%-902K |
Cash from discontinued financing activities | ||||||||||
Financing cash flow | -95.31%-42.3M | -6.41%-33.66M | -17.35%-68.68M | 23.86%-132.71M | 49.12%-20.89M | 46.56%-21.66M | 22.46%-31.63M | -12.73%-58.53M | -217.23%-174.31M | -242.42%-41.07M |
Net cash flow | ||||||||||
Beginning cash position | -8.75%237.01M | -11.47%220.7M | 28.91%303.17M | -29.65%235.17M | 22.65%249.86M | 47.80%259.74M | 35.81%249.29M | -29.65%235.17M | 10.71%334.31M | -39.79%203.72M |
Current changes in cash | -88.41%-18.08M | 64.36%16.79M | -670.41%-82M | 170.20%68.22M | 75.45%53.22M | -131.73%-9.6M | 242.59%10.22M | 109.55%14.38M | -391.45%-97.18M | 948.74%30.33M |
Effect of exchange rate changes | 78.29%-61K | -307.73%-484K | -83.21%-480K | 88.79%-219K | -91.88%91K | 87.58%-281K | 135.96%233K | -59.76%-262K | -94.91%-1.95M | 353.62%1.12M |
End cash Position | -12.41%218.86M | -8.75%237.01M | -11.47%220.7M | 28.91%303.17M | 28.91%303.17M | 22.65%249.86M | 47.80%259.74M | 35.81%249.29M | -29.65%235.17M | -29.65%235.17M |
Free cash flow | 20.16%118.45M | 13.01%72.6M | 4.27%46.66M | 197.16%337.95M | 130.73%130.39M | 64.09%98.57M | 215.20%64.25M | 292.54%44.75M | -51.49%113.73M | 16.15%56.51M |
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 | -- | -- | -- | -- | Unqualified Opinion | -- |
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