(FY)Dec 30, 2023 | (Q4)Dec 30, 2023 | (FY)Dec 30, 2022 | (Q4)Dec 30, 2022 | (FY)Dec 30, 2021 | (Q4)Dec 30, 2021 | (FY)Dec 30, 2020 | (Q4)Dec 30, 2020 | (FY)Dec 30, 2019 | (Q4)Dec 30, 2019 | |
---|---|---|---|---|---|---|---|---|---|---|
Assets | ||||||||||
Current assets | ||||||||||
Cash, cash equivalents and short term investments | -38.04%28.5M | -38.04%28.5M | -24.47%46M | -24.47%46M | -9.24%60.9M | -9.24%60.9M | 244.10%67.1M | 244.10%67.1M | -43.24%19.5M | -43.24%19.5M |
-Cash and cash equivalents | -38.04%28.5M | -38.04%28.5M | -23.84%46M | -23.84%46M | -9.99%60.4M | -9.99%60.4M | 244.10%67.1M | 244.10%67.1M | -43.24%19.5M | -43.24%19.5M |
-Short term investments | ---- | ---- | ---- | ---- | --500K | --500K | ---- | ---- | ---- | ---- |
Receivables | 2.74%33.7M | 2.74%33.7M | -1.20%32.8M | -1.20%32.8M | -8.03%33.2M | -8.03%33.2M | -31.63%36.1M | -31.63%36.1M | -9.64%52.8M | -9.64%52.8M |
-Accounts receivable | -23.91%31.5M | -23.91%31.5M | 6.43%41.4M | 6.43%41.4M | -18.11%38.9M | -18.11%38.9M | 34.18%47.5M | 34.18%47.5M | -20.08%35.4M | -20.08%35.4M |
-Other receivables | 29.41%2.2M | 29.41%2.2M | -81.52%1.7M | -81.52%1.7M | 15.00%9.2M | 15.00%9.2M | -54.02%8M | -54.02%8M | 23.03%17.4M | 23.03%17.4M |
-Recievables adjustments allowances | ---- | ---- | 30.87%-10.3M | 30.87%-10.3M | 23.20%-14.9M | 23.20%-14.9M | ---19.4M | ---19.4M | ---- | ---- |
Prepaid assets | 30.56%4.7M | 30.56%4.7M | 9.09%3.6M | 9.09%3.6M | 32.00%3.3M | 32.00%3.3M | -26.47%2.5M | -26.47%2.5M | 16.56%3.4M | 16.56%3.4M |
Current deferred assets | -69.23%400K | -69.23%400K | -40.91%1.3M | -40.91%1.3M | 450.00%2.2M | 450.00%2.2M | -80.00%400K | -80.00%400K | 117.63%2M | 117.63%2M |
Other current assets | -16.33%4.1M | -16.33%4.1M | --4.9M | --4.9M | ---- | ---- | ---- | ---- | ---- | ---- |
Total current assets | -19.41%71.4M | -19.41%71.4M | -11.04%88.6M | -11.04%88.6M | -6.13%99.6M | -6.13%99.6M | 36.55%106.1M | 36.55%106.1M | -19.59%77.7M | -19.59%77.7M |
Non current assets | ||||||||||
Net PPE | -30.00%11.9M | -30.00%11.9M | -13.27%17M | -13.27%17M | -23.44%19.6M | -23.44%19.6M | -12.03%25.6M | -12.03%25.6M | 443.11%29.1M | 443.11%29.1M |
-Gross PPE | -10.70%16.7M | -10.70%16.7M | -19.40%18.7M | -19.40%18.7M | -26.35%23.2M | -26.35%23.2M | -15.09%31.5M | -15.09%31.5M | 247.31%37.1M | 247.31%37.1M |
-Accumulated depreciation | -182.35%-4.8M | -182.35%-4.8M | 52.78%-1.7M | 52.78%-1.7M | 38.98%-3.6M | 38.98%-3.6M | 26.25%-5.9M | 26.25%-5.9M | -50.26%-8M | -50.26%-8M |
Investments and advances | ---- | ---- | -91.30%1.2M | -91.30%1.2M | 1.47%13.8M | 1.47%13.8M | -56.96%13.6M | -56.96%13.6M | -0.88%31.6M | -0.88%31.6M |
-Long term equity investment | ---- | ---- | ---- | ---- | -14.71%11.6M | -14.71%11.6M | -56.96%13.6M | -56.96%13.6M | -0.88%31.6M | -0.88%31.6M |
-Other investment | ---- | ---- | -45.45%1.2M | -45.45%1.2M | --2.2M | --2.2M | ---- | ---- | ---- | ---- |
Goodwill and other intangible assets | 2.18%112.5M | 2.18%112.5M | 15.29%110.1M | 15.29%110.1M | 6.35%95.5M | 6.35%95.5M | -7.71%89.8M | -7.71%89.8M | 15.30%97.3M | 15.30%97.3M |
-Goodwill | 1.05%57.7M | 1.05%57.7M | 2.51%57.1M | 2.51%57.1M | 1.83%55.7M | 1.83%55.7M | -21.75%54.7M | -21.75%54.7M | 9.31%69.9M | 9.31%69.9M |
-Other intangible assets | 3.40%54.8M | 3.40%54.8M | 33.17%53M | 33.17%53M | 13.39%39.8M | 13.39%39.8M | 28.10%35.1M | 28.10%35.1M | 34.04%27.4M | 34.04%27.4M |
Non current deferred assets | 35.39%24.1M | 35.39%24.1M | 21.92%17.8M | 21.92%17.8M | -13.61%14.6M | -13.61%14.6M | 113.92%16.9M | 113.92%16.9M | 178.56%7.9M | 178.56%7.9M |
Other non current assets | 25.00%500K | 25.00%500K | --400K | --400K | ---- | ---- | ---- | ---- | ---- | ---- |
Total non current assets | 1.71%149M | 1.71%149M | 2.09%146.5M | 2.09%146.5M | -1.64%143.5M | -1.64%143.5M | -12.06%145.9M | -12.06%145.9M | 33.29%165.9M | 33.29%165.9M |
Total assets | -6.25%220.4M | -6.25%220.4M | -3.29%235.1M | -3.29%235.1M | -3.53%243.1M | -3.53%243.1M | 3.45%252M | 3.45%252M | 10.18%243.6M | 10.18%243.6M |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Current debt and capital lease obligation | 12.07%6.5M | 12.07%6.5M | 7.41%5.8M | 7.41%5.8M | 63.64%5.4M | 63.64%5.4M | -47.62%3.3M | -47.62%3.3M | --6.3M | --6.3M |
-Current debt | 100.00%1M | 100.00%1M | -16.67%500K | -16.67%500K | --600K | --600K | ---- | ---- | --200K | --200K |
-Current capital lease obligation | 3.77%5.5M | 3.77%5.5M | 10.42%5.3M | 10.42%5.3M | 45.45%4.8M | 45.45%4.8M | -45.90%3.3M | -45.90%3.3M | --6.1M | --6.1M |
Payables | -5.51%22.3M | -5.51%22.3M | 26.20%23.6M | 26.20%23.6M | 4.47%18.7M | 4.47%18.7M | 35.61%17.9M | 35.61%17.9M | -29.04%13.2M | -29.04%13.2M |
-accounts payable | -1.30%7.6M | -1.30%7.6M | 266.67%7.7M | 266.67%7.7M | -58.00%2.1M | -58.00%2.1M | 1,566.67%5M | 1,566.67%5M | -94.85%300K | -94.85%300K |
-Other payable | -7.55%14.7M | -7.55%14.7M | -4.22%15.9M | -4.22%15.9M | 28.68%16.6M | 28.68%16.6M | 0.00%12.9M | 0.00%12.9M | 0.95%12.9M | 0.95%12.9M |
Current provisions | 100.00%1.2M | 100.00%1.2M | -78.57%600K | -78.57%600K | 55.56%2.8M | 55.56%2.8M | --1.8M | --1.8M | ---- | ---- |
Current deferred liabilities | 18.06%26.8M | 18.06%26.8M | 9.66%22.7M | 9.66%22.7M | 6.70%20.7M | 6.70%20.7M | -21.14%19.4M | -21.14%19.4M | -2.09%24.6M | -2.09%24.6M |
Other current liabilities | -64.29%500K | -64.29%500K | --1.4M | --1.4M | ---- | ---- | 0.00%400K | 0.00%400K | --400K | --400K |
Current liabilities | 5.91%57.3M | 5.91%57.3M | 13.66%54.1M | 13.66%54.1M | 11.21%47.6M | 11.21%47.6M | -3.82%42.8M | -3.82%42.8M | 1.77%44.5M | 1.77%44.5M |
Non current liabilities | ||||||||||
Long term debt and capital lease obligation | -20.39%24.6M | -20.39%24.6M | -9.12%30.9M | -9.12%30.9M | -10.05%34M | -10.05%34M | 30.34%37.8M | 30.34%37.8M | 142.80%29M | 142.80%29M |
-Long term debt | 0.00%17.6M | 0.00%17.6M | 8.64%17.6M | 8.64%17.6M | -10.50%16.2M | -10.50%16.2M | 56.03%18.1M | 56.03%18.1M | -2.88%11.6M | -2.88%11.6M |
-Long term capital lease obligation | -47.37%7M | -47.37%7M | -25.28%13.3M | -25.28%13.3M | -9.64%17.8M | -9.64%17.8M | 13.22%19.7M | 13.22%19.7M | --17.4M | --17.4M |
Long term provisions | 0.00%100K | 0.00%100K | -75.00%100K | -75.00%100K | 300.00%400K | 300.00%400K | -83.33%100K | -83.33%100K | 18.11%600K | 18.11%600K |
Non current deferred liabilities | 120.00%1.1M | 120.00%1.1M | -61.54%500K | -61.54%500K | -84.15%1.3M | -84.15%1.3M | 36.67%8.2M | 36.67%8.2M | 8.87%6M | 8.87%6M |
Other non current liabilities | ---- | ---- | --1.5M | --1.5M | ---- | ---- | ---- | ---- | ---- | ---- |
Total non current liabilities | -21.82%25.8M | -21.82%25.8M | -7.56%33M | -7.56%33M | -22.56%35.7M | -22.56%35.7M | 29.49%46.1M | 29.49%46.1M | 98.19%35.6M | 98.19%35.6M |
Total liabilities | -4.59%83.1M | -4.59%83.1M | 4.56%87.1M | 4.56%87.1M | -6.30%83.3M | -6.30%83.3M | 10.99%88.9M | 10.99%88.9M | 29.84%80.1M | 29.84%80.1M |
Shareholders'equity | ||||||||||
Share capital | 4.07%140.5M | 4.07%140.5M | 2.82%135M | 2.82%135M | 4.21%131.3M | 4.21%131.3M | 103.88%126M | 103.88%126M | 4.08%61.8M | 4.08%61.8M |
-common stock | 4.07%140.5M | 4.07%140.5M | 2.82%135M | 2.82%135M | 4.21%131.3M | 4.21%131.3M | 103.88%126M | 103.88%126M | 4.08%61.8M | 4.08%61.8M |
Retained earnings | -731.58%-12M | -731.58%-12M | -91.85%1.9M | -91.85%1.9M | -32.27%23.3M | -32.27%23.3M | -59.91%34.4M | -59.91%34.4M | 6.14%85.8M | 6.14%85.8M |
Gains losses not affecting retained earnings | -19.78%7.3M | -19.78%7.3M | 167.65%9.1M | 167.65%9.1M | 325.00%3.4M | 325.00%3.4M | -82.98%800K | -82.98%800K | -21.63%4.7M | -21.63%4.7M |
Total stockholders'equity | -6.99%135.8M | -6.99%135.8M | -7.59%146M | -7.59%146M | -1.99%158M | -1.99%158M | 5.84%161.2M | 5.84%161.2M | 4.16%152.3M | 4.16%152.3M |
Noncontrolling interests | -25.00%1.5M | -25.00%1.5M | 11.11%2M | 11.11%2M | -5.26%1.8M | -5.26%1.8M | -83.04%1.9M | -83.04%1.9M | -15.05%11.2M | -15.05%11.2M |
Total equity | -7.23%137.3M | -7.23%137.3M | -7.38%148M | -7.38%148M | -2.02%159.8M | -2.02%159.8M | -0.24%163.1M | -0.24%163.1M | 2.57%163.5M | 2.57%163.5M |
Accounting Standards | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP |
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