(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 | -277.37%-4.01M | 16.63%-19.59M | 71.86%-13.97M | 219.45%8.95M | 25.38%-1.68M | 108.12%2.26M | -94.33%-23.5M | 8.22%-49.66M | 66.33%-7.49M | 92.94%-2.25M |
Net income from continuing operations | -17.88%-42.02M | -0.40%-35.14M | -8.81%-130.01M | -40.42%-33.99M | 7.61%-25.37M | -20.75%-35.65M | 8.60%-35.01M | -40.36%-119.49M | -354.31%-24.21M | 36.23%-27.46M |
Operating gains losses | 1,470.83%1.51M | -174.64%-379K | 80.96%-3.52M | 93.58%-175K | -210.98%-3.3M | 101.51%96K | 98.88%-138K | 25.96%-18.49M | 94.30%-2.73M | 145.83%2.98M |
Depreciation and amortization | 14.78%16.28M | -9.81%13.33M | 38.25%65.97M | 38.21%18.82M | 36.50%18.18M | 30.13%14.18M | 49.64%14.78M | 41.01%47.72M | 21.18%13.62M | 52.22%13.32M |
Deferred tax | 3,000.00%29K | -161.02%-36K | 17.62%-187K | -152.18%-251K | 105.17%6K | 99.87%-1K | -66.29%59K | 89.66%-227K | 128.01%481K | 84.94%-116K |
Other non cash items | -71.09%787K | -74.91%785K | 26.26%5.8M | 368.38%993K | -240.87%-1.04M | 8.02%2.72M | 83.30%3.13M | 165.12%4.6M | -165.26%-370K | 107.99%739K |
Change In working capital | -60.76%3.61M | 27.92%-11.74M | 103.09%1.03M | 619.74%11.93M | -86.13%-3.81M | 140.46%9.21M | -158.82%-16.29M | -21.76%-33.39M | 84.97%-2.3M | 82.96%-2.05M |
-Change in receivables | 27.90%-6.13M | 304.90%2.84M | 6.19%-15.19M | 81.29%-3.35M | -13.84%-1.96M | -87.76%-8.5M | -117.49%-1.39M | 48.56%-16.19M | 11.82%-17.87M | -416.52%-1.72M |
-Change in prepaid assets | -79.30%737K | 35.34%-3.75M | 286.42%7.32M | 2,650.17%8.06M | 163.84%1.5M | 212.59%3.56M | -256.83%-5.8M | 18.38%-3.93M | 108.02%293K | -94.14%567K |
-Change in payables and accrued expense | -43.14%9.95M | 1.75%-10.42M | 248.67%13.24M | -54.10%8.09M | -297.73%-1.74M | 210.87%17.5M | 8.87%-10.61M | -194.92%-8.9M | -2.22%17.64M | 107.36%882K |
-Change in other current liabilities | -4.91%-577K | -179.97%-635K | 52.88%-825K | 1.87%-367K | 55.40%-702K | -127.40%-550K | 143.87%794K | ---1.75M | ---374K | ---1.57M |
-Change in other working capital | 86.80%-370K | -68.99%218K | -34.01%-3.52M | 74.08%-512K | -346.53%-902K | -116.69%-2.8M | -17.10%703K | -397.72%-2.62M | 78.95%-1.98M | 97.84%-202K |
Cash from discontinued investing activities | ||||||||||
Operating cash flow | -277.37%-4.01M | 16.63%-19.59M | 71.86%-13.97M | 219.45%8.95M | 25.38%-1.68M | 108.12%2.26M | -94.33%-23.5M | 8.22%-49.66M | 66.33%-7.49M | 92.94%-2.25M |
Investing cash flow | ||||||||||
Cash flow from continuing investing activities | -5.51%-10.56M | -0.23%-5.19M | 35.12%-28.78M | 52.98%-5.89M | -1.24%-7.7M | 38.25%-10.01M | 35.41%-5.17M | 60.53%-44.35M | 16.14%-12.53M | 90.37%-7.61M |
Capital expenditure reported | -12.81%-10.51M | -6.85%-5.14M | 33.24%-27.15M | 47.35%-5.66M | -8.91%-7.37M | 40.64%-9.31M | 35.59%-4.81M | -5.89%-40.67M | 25.42%-10.75M | 20.96%-6.77M |
Net PPE purchase and sale | 92.37%-53K | 86.14%-51K | 55.87%-1.63M | 87.06%-230K | 60.38%-334K | -34.17%-695K | 32.85%-368K | -52.17%-3.69M | -238.67%-1.78M | 49.03%-843K |
Net business purchase and sale | ---- | ---- | --0 | ---- | ---- | ---- | ---- | --0 | ---- | ---- |
Cash from discontinued investing activities | ||||||||||
Investing cash flow | -5.51%-10.56M | -0.23%-5.19M | 35.12%-28.78M | 52.98%-5.89M | -1.24%-7.7M | 38.25%-10.01M | 35.41%-5.17M | 60.53%-44.35M | 16.14%-12.53M | 90.37%-7.61M |
Financing cash flow | ||||||||||
Cash flow from continuing financing activities | 77.93%-570K | -683.33%-3.05M | -312.79%-11.73M | -1,055.64%-2.97M | -759.70%-6.7M | -203.32%-2.58M | -76.83%522K | -98.67%5.51M | 98.54%-257K | -99.74%1.02M |
Net issuance payments of debt | 47.35%-179K | 22.97%-285K | -36.41%-1.27M | -11.83%-435K | 58.19%-125K | -113.84%-340K | -340.48%-370K | 98.04%-931K | 17.41%-389K | 99.10%-299K |
Net common stock issuance | 66.20%-876K | -2,025.19%-2.78M | -4,290.00%-10.98M | -546.00%-1.62M | ---6.64M | ---2.59M | ---131K | ---250K | ---250K | --0 |
Net preferred stock issuance | ---- | ---- | --0 | ---- | ---- | ---- | ---- | --0 | ---- | ---- |
Proceeds from stock option exercised by employees | 38.97%485K | -97.65%24K | -92.26%518K | -340.84%-920K | -94.98%66K | -86.87%349K | -56.23%1.02M | 149.14%6.69M | 102.24%382K | 17.11%1.31M |
Cash from discontinued financing activities | ||||||||||
Financing cash flow | 77.93%-570K | -683.33%-3.05M | -312.79%-11.73M | -1,055.64%-2.97M | -759.70%-6.7M | -203.32%-2.58M | -76.83%522K | -98.67%5.51M | 98.54%-257K | -99.74%1.02M |
Net cash flow | ||||||||||
Beginning cash position | -35.04%100.32M | -29.76%128.19M | -32.68%182.51M | -36.81%128.01M | -31.86%144.16M | -39.03%154.43M | -32.68%182.51M | 1,099.42%271.11M | -37.85%202.56M | 393.85%211.57M |
Current changes in cash | -46.46%-15.13M | 1.17%-27.82M | 38.45%-54.48M | 100.43%87K | -81.76%-16.08M | 75.12%-10.33M | -57.71%-28.15M | -135.58%-88.5M | 62.96%-20.28M | -103.12%-8.85M |
Effect of exchange rate changes | -153.85%-35K | -162.50%-45K | 259.79%155K | -58.56%92K | 54.60%-74K | 131.55%65K | 44.00%72K | 57.46%-97K | 458.06%222K | -14.79%-163K |
End cash Position | -40.93%85.15M | -35.04%100.32M | -29.76%128.19M | -29.76%128.19M | -36.81%128.01M | -31.86%144.16M | -39.03%154.43M | -32.68%182.51M | -32.68%182.51M | -37.85%202.56M |
Free cash flow | -87.92%-14.56M | 13.58%-24.78M | 54.53%-42.75M | 115.27%3.06M | 4.85%-9.38M | 82.40%-7.75M | -42.63%-28.67M | 0.97%-94.01M | 46.16%-20.02M | 76.60%-9.86M |
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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