(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 | -10.88%772.02M | 1.20%948.86M | -1.34%704.22M | -3.63%3.03B | -35.06%516.43M | -9.86%866.29M | 33.55%937.61M | 3.46%713.76M | -1.84%3.15B | 23.87%795.23M |
Net income from continuing operations | 2.41%665.46M | -0.72%622.85M | 5.87%547.24M | 8.01%2.35B | 4.53%552.5M | 11.00%649.83M | 8.77%627.37M | 7.26%516.89M | 0.37%2.17B | 1.85%528.57M |
Depreciation and amortization | 10.99%116.44M | 15.64%113.24M | 16.96%109.65M | 14.28%409.06M | 12.61%112.48M | 16.56%104.91M | 15.04%97.93M | 13.05%93.75M | 9.05%357.93M | 10.29%99.89M |
Deferred tax | -142.89%-9.64M | 56.23%15.8M | -30.03%2.37M | -30.68%48.23M | -54.46%12.25M | 56.39%22.48M | -56.54%10.11M | -32.56%3.39M | 241.34%69.58M | 1,054.59%26.9M |
Other non cash items | -48.94%2.38M | 203.17%3.83M | 268.97%4.59M | 26.50%7.07M | -107.30%-101K | 177.51%4.67M | 203.37%1.26M | -41.01%1.24M | -14.23%5.59M | -2.54%1.38M |
Change In working capital | -112.98%-10M | -4.06%185.94M | -63.38%33.34M | -62.09%195.63M | -226.98%-166.27M | -70.75%77.03M | 1,772.66%193.8M | -18.27%91.06M | -22.15%516.05M | 479.75%130.94M |
-Change in receivables | 358.31%70.3M | -47.47%-42.52M | -1,315.86%-36.95M | 53.15%-35.54M | 492.25%23.12M | -190.39%-27.22M | -7.13%-28.83M | 92.25%-2.61M | -59.95%-75.86M | -163.27%-5.89M |
-Change in inventory | -1,841.67%-127.35M | 108.87%6.91M | 48.72%-92.04M | 56.91%-288.32M | 88.80%-24.43M | 95.04%-6.56M | 51.45%-77.86M | -13.32%-179.48M | -1,950.15%-669.05M | -458.34%-218.06M |
-Change in payables and accrued expense | 246.88%252.42M | -81.08%52.68M | -54.07%146.13M | -81.39%252.18M | -203.53%-417.09M | -80.71%72.77M | 46.88%278.37M | -17.47%318.14M | 98.72%1.36B | 247.36%402.87M |
-Change in other working capital | -639.93%-205.37M | 663.26%168.88M | 136.02%16.21M | 383.55%267.31M | 625.55%252.14M | 37.71%38.04M | 172.62%22.13M | 45.15%-44.99M | -254.67%-94.27M | 24.64%-47.98M |
Cash from discontinued investing activities | ||||||||||
Operating cash flow | -10.88%772.02M | 1.20%948.86M | -1.34%704.22M | -3.63%3.03B | -35.06%516.43M | -9.86%866.29M | 33.55%937.61M | 3.46%713.76M | -1.84%3.15B | 23.87%795.23M |
Investing cash flow | ||||||||||
Cash flow from continuing investing activities | 9.87%-261.15M | 7.04%-221.7M | -80.91%-400.75M | -34.59%-995.94M | 30.91%-246.16M | -82.43%-289.77M | -98.93%-238.49M | -111.01%-221.52M | -20.20%-739.99M | -28.21%-356.28M |
Net PPE purchase and sale | 11.75%-255.57M | 4.98%-221.69M | -11.25%-245.39M | -80.22%-988.58M | -43.70%-245.08M | -84.12%-289.61M | -94.65%-233.32M | -118.74%-220.56M | -26.58%-548.54M | -71.72%-170.55M |
Net business purchase and sale | --0 | ---- | ---- | 97.80%-4.15M | --0 | 99.92%-1K | ---- | ---- | -4.41%-188.28M | -2.51%-183.02M |
Net other investing changes | -3,502.58%-5.58M | 99.01%-10K | -16,151.67%-155.37M | -1.49%-3.21M | 60.05%-1.09M | 57.18%-155K | -5,538.89%-1.02M | -1,305.88%-956K | -64.11%-3.16M | -8,661.29%-2.72M |
Cash from discontinued investing activities | ||||||||||
Investing cash flow | 9.87%-261.15M | 7.04%-221.7M | -80.91%-400.75M | -34.59%-995.94M | 30.91%-246.16M | -82.43%-289.77M | -98.93%-238.49M | -111.01%-221.52M | -20.20%-739.99M | -28.21%-356.28M |
Financing cash flow | ||||||||||
Cash flow from continuing financing activities | 2.09%-540.02M | 4.42%-670.49M | 8.88%-493.58M | 29.81%-1.87B | 81.40%-74.04M | 44.23%-551.55M | -34.93%-701.48M | 28.31%-541.67M | 1.20%-2.66B | 11.80%-398.08M |
Net issuance payments of debt | -115.30%-34.44M | 295.10%107.31M | -150.60%-280.81M | 118.60%1.2B | --471.37M | 175.03%225.08M | -106.49%-55M | --555M | 282.44%547.31M | --0 |
Net common stock issuance | 35.40%-501.68M | -20.32%-777.8M | 80.64%-212.2M | 4.47%-3.06B | -35.82%-540.46M | -12.74%-776.61M | 52.50%-646.46M | -45.16%-1.1B | -33.95%-3.2B | 11.83%-397.93M |
Net other financing activities | -25,900.00%-3.9M | --0 | -60.73%-569K | 23.02%-5.34M | -3,222.15%-4.95M | 87.39%-15K | 99.62%-24K | -1.14%-354K | -86.34%-6.94M | -1,762.50%-149K |
Cash from discontinued financing activities | ||||||||||
Financing cash flow | 2.09%-540.02M | 4.42%-670.49M | 8.88%-493.58M | 29.81%-1.87B | 81.40%-74.04M | 44.23%-551.55M | -34.93%-701.48M | 28.31%-541.67M | 1.20%-2.66B | 11.80%-398.08M |
Net cash flow | ||||||||||
Beginning cash position | 150.59%145.04M | 49.09%89.26M | 157.07%279.13M | -70.01%108.58M | 23.27%82.66M | -77.20%57.88M | -68.74%59.87M | -70.01%108.58M | -22.23%362.11M | -85.07%67.06M |
Current changes in cash | -216.77%-29.16M | 2,500.04%56.67M | -284.66%-190.12M | 166.63%169.41M | 380.11%196.22M | 113.37%24.97M | -103.79%-2.36M | 71.05%-49.43M | -146.46%-254.27M | 146.85%40.87M |
Effect of exchange rate changes | -41.05%-268K | -340.38%-887K | -65.27%248K | 53.71%1.14M | -62.33%246K | -126.19%-190K | 1,376.00%369K | 385.71%714K | 306.41%741K | 1,132.08%653K |
End cash Position | 39.86%115.61M | 150.59%145.04M | 49.09%89.26M | 157.07%279.13M | 157.07%279.13M | 23.27%82.66M | -77.20%57.88M | -68.74%59.87M | -70.01%108.58M | -70.01%108.58M |
Free cash flow | -10.39%513.71M | 3.37%723.49M | -7.24%454.98M | -21.55%2.03B | -57.45%264.12M | -28.44%573.27M | 21.27%699.93M | -16.28%490.5M | -6.49%2.58B | 14.98%620.71M |
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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