(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 | |
---|---|---|---|---|---|---|---|---|---|---|
Assets | ||||||||||
Current assets | ||||||||||
Cash, cash equivalents and short term investments | 40.33%106.95M | 24.37%143.87M | 51.98%150.15M | 51.98%150.15M | -35.20%71.11M | -33.46%76.21M | -24.52%115.68M | -4.22%98.79M | -4.22%98.79M | 18.24%109.75M |
-Cash and cash equivalents | 40.33%106.95M | 24.37%143.87M | 51.98%150.15M | 51.98%150.15M | -35.20%71.11M | -33.46%76.21M | -24.52%115.68M | -4.22%98.79M | -4.22%98.79M | 18.24%109.75M |
Receivables | 48.57%8.95M | 47.18%18.13M | -53.46%21.13M | -53.46%21.13M | -85.34%8.05M | -69.25%6.03M | 130.70%12.32M | -45.72%45.41M | -45.72%45.41M | 1,336.78%54.93M |
-Accounts receivable | 48.57%8.95M | 47.18%18.13M | -53.46%21.13M | -53.46%21.13M | -85.34%8.05M | -69.25%6.03M | 130.70%12.32M | -45.72%45.41M | -45.72%45.41M | 1,336.78%54.93M |
Inventory | 10.23%55.66M | 49.66%63.72M | 63.52%64.22M | 63.52%64.22M | 107.77%64.95M | 207.32%50.5M | 161.57%42.58M | 101.29%39.27M | 101.29%39.27M | 5.35%31.26M |
Other current assets | 214.40%4.91M | 11.05%2.17M | 50.97%3.5M | 50.97%3.5M | 92.55%1.86M | -49.38%1.56M | -12.29%1.96M | -5.62%2.32M | -5.62%2.32M | -63.24%964.07K |
Total current assets | 31.41%176.48M | 32.09%227.89M | 28.64%238.99M | 28.64%238.99M | -25.87%145.97M | -12.59%134.3M | -2.58%172.53M | -11.00%185.79M | -11.00%185.79M | 52.71%196.9M |
Non current assets | ||||||||||
Net PPE | -5.48%1.52M | -30.51%1.19M | -27.95%1.33M | -27.95%1.33M | -25.77%1.47M | -23.91%1.61M | -23.29%1.72M | -21.88%1.85M | -21.88%1.85M | -19.81%1.98M |
-Gross PPE | 6.69%7.38M | 0.29%6.91M | 0.29%6.91M | 0.29%6.91M | -0.01%6.92M | -0.48%6.92M | -0.79%6.89M | -1.33%6.89M | -1.33%6.89M | -0.64%6.92M |
-Accumulated depreciation | -10.37%-5.86M | -10.50%-5.72M | -10.63%-5.58M | -10.63%-5.58M | -10.32%-5.45M | -9.73%-5.31M | -9.89%-5.18M | -9.19%-5.05M | -9.19%-5.05M | -9.89%-4.94M |
Goodwill and other intangible assets | 0.00%898.33K | 0.00%898.33K | 0.00%898.33K | 0.00%898.33K | 0.00%898.33K | 0.00%898.33K | 0.00%898.33K | 0.00%898.33K | 0.00%898.33K | 0.00%898.33K |
-Goodwill | 0.00%898.33K | 0.00%898.33K | 0.00%898.33K | 0.00%898.33K | 0.00%898.33K | 0.00%898.33K | 0.00%898.33K | 0.00%898.33K | 0.00%898.33K | 0.00%898.33K |
Non current deferred assets | 52.95%11.61M | 63.53%11.01M | 76.76%11.05M | 76.76%11.05M | 88.76%7.9M | 149.74%7.59M | 66.88%6.73M | 158.00%6.25M | 158.00%6.25M | 41.72%4.18M |
Other non current assets | 1.82%2.16M | 5.30%2.15M | 725.01%2.08M | 725.01%2.08M | 719.26%2.14M | 749.77%2.12M | 669.02%2.04M | -11.88%252.55K | -11.88%252.55K | -14.64%261.81K |
Total non current assets | 32.51%16.18M | 33.91%15.25M | 66.08%15.36M | 66.08%15.36M | 69.46%12.41M | 93.94%12.21M | 53.15%11.39M | 54.84%9.25M | 54.84%9.25M | 10.53%7.32M |
Total assets | 31.50%192.66M | 32.20%243.15M | 30.41%254.35M | 30.41%254.35M | -22.45%158.38M | -8.40%146.51M | -0.34%183.92M | -9.17%195.04M | -9.17%195.04M | 50.65%204.22M |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Payables | 2.05%1.12M | 1,835.25%47.9M | 396.20%23.15M | 396.20%23.15M | -94.65%618.7K | -40.89%1.09M | -4.33%2.48M | -78.03%4.66M | -78.03%4.66M | 15.56%11.57M |
-accounts payable | -4.46%1.03M | 121.38%2.52M | -56.60%1.46M | -56.60%1.46M | -76.93%564.27K | -10.97%1.08M | -35.90%1.14M | 65.45%3.36M | 65.45%3.36M | -75.46%2.45M |
-Total tax payable | 597.49%82.46K | 102.48%2.7M | 1,556.21%21.69M | 1,556.21%21.69M | -99.40%54.43K | -98.14%11.82K | 65.10%1.34M | -93.18%1.31M | -93.18%1.31M | 18,805.35%9.12M |
-Dividends payable | ---- | --42.67M | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
Current accrued expenses | -35.48%2.04M | -22.96%2.16M | 96.47%4.17M | 96.47%4.17M | 83.44%4.38M | -36.02%3.16M | 47.02%2.8M | 170.62%2.12M | 170.62%2.12M | 18.85%2.39M |
Current debt and capital lease obligation | -3.97%523.89K | -6.18%503.47K | 6.79%564.01K | 6.79%564.01K | 6.84%554.73K | 7.58%545.56K | 10.25%536.63K | 13.14%528.17K | 13.14%528.17K | 4.53%519.2K |
-Current capital lease obligation | -3.97%523.89K | -6.18%503.47K | 6.79%564.01K | 6.79%564.01K | 6.84%554.73K | 7.58%545.56K | 10.25%536.63K | 13.14%528.17K | 13.14%528.17K | 4.53%519.2K |
Current deferred liabilities | 20.70%13.73M | 97.58%20.79M | 97.07%20.79M | 97.07%20.79M | 116.21%21.9M | 61.68%11.37M | 1,226.02%10.52M | 180.20%10.55M | 180.20%10.55M | 182.37%10.13M |
Other current liabilities | 64.47%2.19M | 55.94%2.1M | 108.14%2.66M | 108.14%2.66M | 25.91%1.07M | 42.49%1.33M | 78.29%1.34M | -10.40%1.28M | -10.40%1.28M | 104.42%852.37K |
Current liabilities | 12.59%21.38M | 304.90%74.81M | 151.50%54.12M | 151.50%54.12M | 11.98%30.74M | 13.74%18.99M | 155.18%18.48M | -29.42%21.52M | -29.42%21.52M | 44.95%27.46M |
Non current liabilities | ||||||||||
Derivative product liabilities | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | --0 |
Other non current liabilities | 7.93%3.72M | -0.34%3.34M | 0.54%3.38M | 0.54%3.38M | -3.71%3.5M | -0.83%3.45M | -1.31%3.35M | -1.31%3.36M | -1.31%3.36M | -2.44%3.63M |
Total non current liabilities | 7.93%3.72M | -0.34%3.34M | 0.54%3.38M | 0.54%3.38M | -3.71%3.5M | -0.83%3.45M | -64.95%3.35M | -66.16%3.36M | -66.16%3.36M | -63.94%3.63M |
Total liabilities | 11.87%25.1M | 258.00%78.16M | 131.12%57.49M | 131.12%57.49M | 10.15%34.24M | 11.23%22.44M | 29.87%21.83M | -38.44%24.88M | -38.44%24.88M | 7.17%31.09M |
Shareholders'equity | ||||||||||
Share capital | 0.31%7.13K | -0.59%7.11K | -2.19%7.11K | -2.19%7.11K | -2.64%7.11K | -2.64%7.11K | -1.41%7.15K | -1.17%7.27K | -1.17%7.27K | -1.74%7.3K |
-common stock | 0.31%7.13K | -0.59%7.11K | -2.19%7.11K | -2.19%7.11K | -2.64%7.11K | -2.64%7.11K | -1.41%7.15K | -1.17%7.27K | -1.17%7.27K | -1.74%7.3K |
Retained earnings | 36.87%-69.95M | 0.69%-71.78M | 38.96%-38.94M | 38.96%-38.94M | -84.90%-111.2M | -18.91%-110.81M | -23.14%-72.28M | -23.26%-63.8M | -23.26%-63.8M | 49.55%-60.14M |
Paid-in capital | 1.12%237.5M | 1.02%236.77M | 0.79%235.8M | 0.79%235.8M | 0.88%235.33M | 0.83%234.87M | 3.51%234.37M | 3.49%233.96M | 3.49%233.96M | 3.33%233.27M |
Total stockholders'equity | 35.05%167.56M | 1.79%164.99M | 15.69%196.86M | 15.69%196.86M | -28.30%124.14M | -11.23%124.07M | -3.36%162.09M | -2.38%170.16M | -2.38%170.16M | 62.49%173.14M |
Total equity | 35.05%167.56M | 1.79%164.99M | 15.69%196.86M | 15.69%196.86M | -28.30%124.14M | -11.23%124.07M | -3.36%162.09M | -2.38%170.16M | -2.38%170.16M | 62.49%173.14M |
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 | -- | -- | -- | -- | -- | -- | -- |
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