(Q3)Sep 30, 2023 | (Q2)Jun 30, 2023 | (Q1)Mar 31, 2023 | (FY)Dec 31, 2022 | (Q4)Dec 31, 2022 | (Q3)Sep 30, 2022 | (Q2)Jun 30, 2022 | (Q1)Mar 31, 2022 | (FY)Dec 31, 2021 | (Q4)Dec 31, 2021 | |
---|---|---|---|---|---|---|---|---|---|---|
Assets | ||||||||||
Current assets | ||||||||||
Cash, cash equivalents and short term investments | 1.21%2.01M | -91.90%588K | -62.79%1.36M | -82.09%1.2M | -82.09%1.2M | -86.95%1.99M | -81.97%7.26M | -91.17%3.67M | -80.44%6.7M | -80.44%6.7M |
-Cash and cash equivalents | 1.21%2.01M | -91.90%588K | -62.79%1.36M | -82.09%1.2M | -82.09%1.2M | -86.95%1.99M | -81.97%7.26M | 194.93%3.67M | 2,987.56%6.7M | 2,987.56%6.7M |
Receivables | 100.63%1.9M | 20.89%1.49M | -70.60%1.29M | -80.31%938K | -80.31%938K | -89.68%948K | -44.14%1.23M | 238.54%4.4M | 1,253.13%4.76M | 1,253.13%4.76M |
-Accounts receivable | 122.86%1.28M | 0.82%862K | -83.38%669K | -92.20%313K | -92.20%313K | -93.21%573K | -61.17%855K | 209.69%4.03M | 1,040.06%4.01M | 1,040.06%4.01M |
-Notes receivable | 66.67%625K | 66.67%625K | 66.67%625K | -16.67%625K | -16.67%625K | -50.00%375K | --375K | --375K | --750K | --750K |
Inventory | -4.62%2.56M | -51.11%2.95M | -66.88%2.56M | -68.62%1.94M | -68.62%1.94M | -83.08%2.68M | 133.13%6.04M | 228.12%7.72M | 714.23%6.18M | 714.23%6.18M |
Prepaid assets | ---- | ---- | ---- | ---- | ---- | -52.02%1.56M | 197.11%3.08M | 249.52%2.2M | ---- | ---- |
Other current assets | --574K | --691K | --310K | -59.01%498K | -59.01%498K | ---- | ---- | ---- | --1.22M | --1.22M |
Total current assets | -2.21%7.05M | -68.58%5.72M | -76.61%5.53M | -81.89%4.58M | -81.89%4.58M | -83.45%7.21M | -60.54%18.2M | -48.39%23.63M | -32.82%25.26M | -32.82%25.26M |
Non current assets | ||||||||||
Net PPE | -44.70%10.83M | -41.27%12.58M | -45.10%12.88M | -43.88%13M | -43.88%13M | -52.07%19.58M | -31.39%21.42M | -25.87%23.46M | 83.41%23.17M | 83.41%23.17M |
-Gross PPE | -28.63%18.2M | -26.64%19.75M | -33.54%19.98M | -30.34%19.89M | -30.34%19.89M | -51.45%25.51M | -34.74%26.93M | -26.33%30.07M | 78.86%28.56M | 78.86%28.56M |
-Accumulated depreciation | -24.46%-7.38M | -30.24%-7.18M | -7.49%-7.1M | -27.84%-6.89M | -27.84%-6.89M | 49.26%-5.93M | 45.16%-5.51M | 27.92%-6.61M | -61.63%-5.39M | -61.63%-5.39M |
Goodwill and other intangible assets | -28.81%4.94M | -95.46%5.32M | -96.65%5.88M | -96.38%6.44M | -96.38%6.44M | -95.64%6.95M | 768.08%117.28M | 1,181.14%175.43M | 1,180.30%177.77M | 1,180.30%177.77M |
-Goodwill | 0.00%3.59M | -75.29%3.59M | -92.55%3.59M | -92.55%3.59M | -92.55%3.59M | -84.79%3.59M | 135.07%14.51M | 679.97%48.13M | 679.97%48.13M | 679.97%48.13M |
-Other intangible assets | -59.55%1.36M | -98.31%1.73M | -98.20%2.3M | -97.79%2.86M | -97.79%2.86M | -97.52%3.36M | 1,300.35%102.77M | 1,592.29%127.29M | 1,580.54%129.64M | 1,580.54%129.64M |
Investments and advances | ---- | ---- | ---- | 28.05%210K | 28.05%210K | ---- | --1.21M | -27.58%239K | -50.30%164K | -50.30%164K |
Financial assets | 84.88%1.33M | --0 | --0 | ---- | ---- | 64.99%721K | ---- | ---- | ---- | ---- |
Non current deferred assets | ---- | ---- | ---- | ---- | ---- | --608K | ---- | ---- | ---- | ---- |
Other non current assets | -34.12%12.38M | -33.88%14.65M | -43.88%15.18M | -64.19%16.28M | -64.19%16.28M | 23.93%18.79M | 41.68%22.15M | 71.53%27.05M | 26.84%45.46M | 26.84%45.46M |
Total non current assets | -36.79%29.48M | -79.92%32.54M | -84.99%33.94M | -85.43%35.93M | -85.43%35.93M | -78.38%46.64M | 167.03%162.06M | 268.15%226.17M | 293.32%246.56M | 293.32%246.56M |
Total assets | -32.16%36.53M | -78.77%38.26M | -84.20%39.47M | -85.10%40.51M | -85.10%40.51M | -79.23%53.85M | 68.78%180.26M | 132.99%249.8M | 171.03%271.82M | 171.03%271.82M |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Payables | -34.42%23.98M | -41.01%21.86M | -33.06%23.27M | -15.40%24.08M | -15.40%24.08M | --36.56M | --37.06M | 252.22%34.76M | 347.25%28.46M | 347.25%28.46M |
-accounts payable | -44.13%12.16M | -47.61%10.43M | -37.68%11.96M | -16.89%12.99M | -16.89%12.99M | --21.77M | --19.9M | 94.40%19.19M | 159.32%15.63M | 159.32%15.63M |
-Total tax payable | -20.11%11.81M | -33.36%11.43M | -27.37%11.31M | -13.60%11.09M | -13.60%11.09M | --14.79M | --17.16M | --15.58M | 3,708.31%12.83M | 3,708.31%12.83M |
Current accrued expenses | -42.54%4.49M | -63.49%2.95M | -80.32%1.51M | -49.19%3.41M | -49.19%3.41M | --7.82M | --8.07M | --7.65M | 474.38%6.7M | 474.38%6.7M |
Current debt and capital lease obligation | 7.23%30.57M | -1.62%28.01M | -56.43%13.84M | -34.72%31.66M | -34.72%31.66M | 229.64%28.51M | 141.80%28.47M | 149.22%31.77M | 455.65%48.49M | 455.65%48.49M |
-Current debt | 7.79%28.52M | -2.46%25.88M | -60.39%11.71M | -34.74%29.66M | -34.74%29.66M | 205.90%26.45M | 125.32%26.53M | 131.96%29.57M | 465.80%45.45M | 465.80%45.45M |
-Current capital lease obligation | -0.10%2.05M | 9.95%2.13M | -3.27%2.13M | -34.36%2M | -34.36%2M | --2.05M | --1.94M | --2.2M | 338.18%3.04M | 338.18%3.04M |
Other current liabilities | ---- | ---- | ---- | ---- | ---- | -80.85%1.65M | -87.11%1.85M | -77.41%2.21M | -60.15%4.05M | -60.15%4.05M |
Current liabilities | -20.80%59.04M | -29.99%52.82M | -49.45%38.61M | -32.57%59.14M | -32.57%59.14M | 78.12%74.54M | 105.68%75.44M | 135.77%76.38M | 231.95%87.71M | 231.95%87.71M |
Non current liabilities | ||||||||||
Long term debt and capital lease obligation | -28.87%14.27M | -14.31%18.95M | 42.15%34.55M | -42.09%17.9M | -42.09%17.9M | -7.15%20.07M | 108.69%22.11M | 118.52%24.31M | 114.58%30.92M | 114.58%30.92M |
-Long term debt | -48.88%4.07M | -13.04%6.64M | 198.96%21.85M | -51.89%4.81M | -51.89%4.81M | -41.20%7.96M | 118.23%7.64M | 106.91%7.31M | 50.87%10.01M | 50.87%10.01M |
-Long term capital lease obligation | -15.69%10.2M | -14.97%12.3M | -25.26%12.71M | -37.40%13.09M | -37.40%13.09M | 50.04%12.1M | 103.99%14.47M | 123.92%17M | 168.93%20.91M | 168.93%20.91M |
Non current deferred liabilities | ---- | ---- | ---- | --0 | --0 | --0 | --3.99M | --4.44M | --6.12M | --6.12M |
Total non current liabilities | -33.37%14.27M | -31.26%18.95M | 19.59%34.55M | -52.42%17.9M | -52.42%17.9M | -0.87%21.42M | 160.15%27.56M | 159.74%28.89M | 155.25%37.63M | 155.25%37.63M |
Total liabilities | -23.60%73.31M | -30.33%71.76M | -30.50%73.17M | -38.53%77.05M | -38.53%77.05M | 51.22%95.96M | 117.88%103M | 141.90%105.28M | 204.48%125.34M | 204.48%125.34M |
Shareholders'equity | ||||||||||
Share capital | 37.16%801K | 44.04%798K | 30.07%718K | 34.55%701K | 34.55%701K | 26.96%584K | 114.73%554K | 115.63%552K | 138.99%521K | 138.99%521K |
-common stock | 36.99%800K | 43.86%797K | 29.89%717K | 34.55%701K | 34.55%701K | 26.96%584K | 114.73%554K | 115.63%552K | 138.99%521K | 138.99%521K |
-Preferred stock | --1K | --1K | --1K | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
Retained earnings | -0.19%-444.44M | -36.26%-441.08M | -69.82%-439.64M | -76.01%-440.05M | -76.01%-440.05M | -84.63%-443.62M | -37.79%-323.71M | -12.16%-258.89M | -13.75%-250.02M | -13.75%-250.02M |
Paid-in capital | 1.28%406.86M | 1.39%406.78M | 1.63%406.03M | 2.72%403.62M | 2.72%403.62M | 7.45%401.73M | 37.86%401.21M | 37.66%399.54M | 42.85%392.93M | 42.85%392.93M |
Less: Treasury stock | --0 | --0 | 0.25%810K | 0.00%808K | 0.00%808K | 0.00%808K | 0.00%808K | 0.00%808K | 0.00%808K | 0.00%808K |
Other equity interest | ---- | ---- | ---- | ---- | ---- | ---- | --1K | ---- | ---- | ---- |
Total stockholders'equity | 12.66%-36.78M | -143.37%-33.5M | -124.01%-33.7M | -125.62%-36.54M | -125.62%-36.54M | -131.60%-42.11M | 39.07%77.25M | 138.55%140.39M | 160.90%142.63M | 160.90%142.63M |
Noncontrolling interests | ---- | ---- | ---- | --0 | --0 | --0 | --0 | -14.67%4.13M | -13.53%3.86M | -13.53%3.86M |
Total equity | 12.66%-36.78M | -143.37%-33.5M | -123.32%-33.7M | -124.94%-36.54M | -124.94%-36.54M | -121.50%-42.11M | 29.78%77.25M | 126.90%144.53M | 147.74%146.49M | 147.74%146.49M |
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 with Explanatory Notes | -- | -- | -- | -- | Unqualified Opinion with Explanatory Notes | -- |
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