(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 | 56.72%-1.62M | -370.74%-6.4M | 312.38%4.19M | 152.28%4.85M | 2.54%718.32K | -45.68%-3.75M | 216.86%2.36M | 63.16%-1.97M | 135.24%1.92M | -75.14%700.51K |
Net income from continuing operations | -16.46%-2.16M | -2,694.43%-19.27M | 106.33%434.79K | -89.23%84.9K | 178.92%1.47M | 62.91%-1.86M | 193.51%742.82K | -107.01%-6.87M | 145.74%788.04K | -322.71%-1.86M |
Operating gains losses | -33.57%-461.09K | -23.95%-128.28K | 63.80%-912.4K | -88.33%9.43K | -6.20%-473.13K | 82.16%-345.21K | 53.13%-103.49K | 23.18%-2.52M | 166.85%80.79K | 81.66%-445.53K |
Depreciation and amortization | -4.47%383.51K | -4.11%392.58K | 17.55%1.61M | 3.95%400.19K | 25.73%401.96K | 21.95%401.45K | 21.02%409.42K | 281.31%1.37M | 204.47%384.99K | 543.80%319.7K |
Deferred tax | -71.54%59K | 99.42%-1.2K | 9.22%-84.19K | 26.59%-300.82K | -31.84%216.63K | 27,090.63%207.29K | ---207.29K | 79.15%-92.74K | -89.82%-409.8K | 650.56%317.83K |
Other non cash items | 68.11%48.43K | -270.55%-31.88K | 104.34%45.74K | 96.25%-36.5K | 146.17%34.74K | 102.47%28.81K | 196.58%18.69K | -667.49%-1.05M | -6,741.54%-974.03K | -101.84%-75.24K |
Change In working capital | 119.02%434.93K | -529.31%-4.73M | -39.35%1.91M | 120.71%4.03M | -140.72%-933.11K | -740.53%-2.29M | 183.23%1.1M | 151.62%3.15M | 151.61%1.83M | -47.68%2.29M |
-Change in receivables | 149.37%612.9K | 118.55%938.15K | 111.66%8.51M | 1,275.63%10.02M | 324.71%4.79M | -172.76%-1.24M | -1,206.27%-5.06M | -74.89%4.02M | -83.57%728.33K | -82.85%1.13M |
-Change in inventory | -142.34%-324.36K | -88.45%58.07K | 1,735.60%1.95M | -70.30%317.64K | 119.82%366.11K | 36.79%766.06K | 410.05%502.83K | 91.18%-119.38K | 382.06%1.07M | -3,846.38%-1.85M |
-Change in payables and accrued expense | 136.83%695.95K | -427.79%-5.1M | 36.54%-1.79M | 36.42%619.71K | -299.03%-2.07M | 24.70%-1.89M | 186.21%1.56M | 78.18%-2.82M | 106.34%454.28K | 147.46%1.04M |
-Change in other current assets | 587.35%1.66K | -205.94%-29.88K | 6.39%27.28K | -100.15%-169 | 99.59%-413 | -46.55%-340 | 145.30%28.21K | -95.61%25.64K | 7,278.62%114.59K | -385,530.77%-100.21K |
-Change in other current liabilities | 16.54%-551.21K | -146.35%-595.36K | -353.89%-2.75M | -283.62%-595.58K | -208.43%-1.25M | -301.66%-660.48K | 32.80%-241.67K | 6.97%-606.23K | 447.26%324.35K | 18.50%-406.53K |
-Change in other working capital | ---- | ---- | -252.35%-4.04M | -631.73%-6.33M | -211.40%-2.76M | -3.31%739.19K | 1,477.15%4.31M | 734.82%2.65M | -76.63%-865.24K | 352.32%2.48M |
Cash from discontinued investing activities | ||||||||||
Operating cash flow | 56.72%-1.62M | -370.74%-6.4M | 293.50%3.81M | 132.93%4.48M | 2.54%718.32K | -45.68%-3.75M | 216.86%2.36M | 63.16%-1.97M | 135.24%1.92M | -75.14%700.51K |
Investing cash flow | ||||||||||
Cash flow from continuing investing activities | -2,334.81%-688.22K | -31,603.23%-6.99M | 97.67%-6.55K | -100.53%-133 | -100.90%-325 | 46.24%-28.27K | 107.68%22.17K | -113.83%-280.52K | 103.10%24.88K | 110.42%36.02K |
Net PPE purchase and sale | --0 | -34.73%14.47K | -178.61%-6.55K | -100.53%-133 | -100.90%-325 | 46.24%-28.27K | --22.17K | -79.11%8.33K | 20,635.83%24.88K | -9.41%36.02K |
Net investment purchase and sale | ---688.22K | ---7M | ---- | ---- | ---- | --0 | --0 | ---- | ---- | ---- |
Net other investing changes | ---- | ---- | ---- | ---- | ---- | ---- | ---- | 82.36%-288.86K | --0 | --0 |
Cash from discontinued investing activities | ||||||||||
Investing cash flow | -2,334.81%-688.22K | -31,603.23%-6.99M | 97.67%-6.55K | -100.53%-133 | -100.90%-325 | 46.24%-28.27K | 107.68%22.17K | -113.83%-280.52K | 103.10%24.88K | 110.42%36.02K |
Financing cash flow | ||||||||||
Cash flow from continuing financing activities | 2.98%-1.36M | 664.01%15.57M | 32.72%-5.05M | -108.51%-5.34M | 49.63%-341.76K | -46.58%-1.4M | 161.68%2.04M | -48.06%-7.5M | -69.11%-2.56M | 60.03%-678.57K |
Net issuance payments of debt | 5.21%-1.15M | -19.49%-3M | 32.12%-4.85M | 72.40%-709.15K | 42.36%-413.02K | -17.54%-1.21M | 11.02%-2.51M | -33.99%-7.14M | -69.47%-2.57M | 58.15%-716.61K |
Net common stock issuance | --0 | --18.58M | ---- | ---- | ---- | --0 | --0 | ---- | ---- | ---- |
Net other financing activities | ---- | ---- | 44.80%-196.68K | -67,027.03%-4.63M | 87.33%71.26K | -338.88%-185.7K | 1,050.35%4.55M | -233.93%-356.33K | 766.71%6.93K | 163.25%38.04K |
Cash from discontinued financing activities | ||||||||||
Financing cash flow | 2.98%-1.36M | 664.01%15.57M | 32.72%-5.05M | -108.51%-5.34M | 49.63%-341.76K | -46.58%-1.4M | 161.68%2.04M | -48.06%-7.5M | -69.11%-2.56M | 60.03%-678.57K |
Net cash flow | ||||||||||
Beginning cash position | -38.04%5.29M | -30.59%2.89M | -68.89%4.17M | -18.15%4.19M | -13.07%4.02M | 9.80%8.53M | -68.89%4.17M | -38.66%13.4M | -75.90%5.12M | -77.43%4.62M |
Current changes in cash | 29.13%-3.67M | -50.57%2.19M | 87.31%-1.24M | -40.53%-863.62K | 549.11%376.23K | -44.57%-5.17M | 178.78%4.42M | -16.26%-9.75M | 92.10%-614.52K | -92.52%57.96K |
Effect of exchange rate changes | -91.82%53.9K | 436.04%205.48K | -107.30%-37.86K | -28.70%-434.24K | -145.59%-201.54K | 53.61%659.06K | -307.25%-61.15K | 987.06%518.74K | -377.60%-337.41K | 21,950.27%442.11K |
End cash Position | -58.34%1.67M | -38.04%5.29M | -30.59%2.89M | -30.59%2.89M | -18.15%4.19M | -13.07%4.02M | 9.80%8.53M | -68.89%4.17M | -68.89%4.17M | -75.90%5.12M |
Free cash flow | 57.04%-1.62M | -370.74%-6.4M | 284.27%3.79M | 133.42%4.48M | 6.63%718.32K | -43.83%-3.78M | 216.86%2.36M | 61.60%-2.06M | 135.17%1.92M | -76.09%673.65K |
Currency Unit | USD | USD | USD | USD | USD | USD | USD | USD | USD | USD |
Audit Opinions | -- | -- | Unqualified Opinion with Explanatory Notes | -- | -- | -- | -- | Unqualified Opinion with Explanatory Notes | -- | -- |
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