(Q3)Sep 30, 2024 | (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 | |
---|---|---|---|---|---|---|---|---|---|---|
Assets | ||||||||||
Current assets | ||||||||||
Cash, cash equivalents and short term investments | -32.75%2.41B | -26.96%2.88B | -14.95%3.27B | 2.03%3.72B | 2.03%3.72B | 84.19%3.58B | 95.65%3.94B | 65.86%3.84B | 44.71%3.65B | 44.71%3.65B |
-Cash and cash equivalents | -13.66%2.41B | -34.88%2.38B | -37.03%2.42B | -21.13%2.88B | -21.13%2.88B | 43.46%2.79B | 81.35%3.65B | 65.86%3.84B | 44.71%3.65B | 44.71%3.65B |
-Short-term investments | --0 | 73.49%500M | --848.73M | --845.19M | --845.19M | --791.68M | --288.2M | ---- | --0 | --0 |
Receivables | 55.94%388.86M | 38.23%317.64M | 30.73%297.19M | 58.18%341.71M | 58.18%341.71M | 18.73%249.37M | 23.29%229.79M | 21.56%227.33M | 8.31%216.03M | 8.31%216.03M |
-Accounts receivable | 55.94%388.86M | 38.23%317.64M | 30.73%297.19M | 58.18%341.71M | 58.18%341.71M | 18.73%249.37M | 23.29%229.79M | 21.56%227.33M | 8.31%216.03M | 8.31%216.03M |
Inventory | 0.54%75.48M | 1.65%72.15M | 6.51%73.69M | 7.79%75.55M | 7.79%75.55M | 9.90%75.07M | 2.76%70.98M | -4.24%69.18M | 0.18%70.09M | 0.18%70.09M |
Restricted cash | 122,578.54%1.21B | --0 | --0 | -99.63%18K | -99.63%18K | -80.48%983K | -30.35%3.9M | -1.39%5.66M | -1.57%4.82M | -1.57%4.82M |
Other current assets | -10.20%113.12M | -1.54%103.3M | 21.86%131.1M | 13.33%99.96M | 13.33%99.96M | --125.97M | --104.92M | --107.58M | --88.2M | --88.2M |
Total current assets | 3.96%4.19B | -22.50%3.37B | -11.34%3.77B | 5.26%4.24B | 5.26%4.24B | 73.50%4.03B | 83.52%4.35B | 59.56%4.25B | 40.11%4.03B | 40.11%4.03B |
Non current assets | ||||||||||
Net PPE | -2.76%8.32B | -3.54%8.31B | -2.84%8.43B | -2.60%8.52B | -2.60%8.52B | -3.27%8.56B | -3.84%8.61B | -3.97%8.68B | -4.24%8.75B | -4.24%8.75B |
-Gross PPE | 1.81%15.28B | 1.74%15.18B | 2.12%15.16B | 2.06%15.11B | 2.06%15.11B | 0.55%15.01B | 0.22%14.92B | -0.15%14.84B | -0.42%14.8B | -0.42%14.8B |
-Accumulated depreciation | -7.86%-6.96B | -8.93%-6.88B | -9.10%-6.73B | -8.80%-6.58B | -8.80%-6.58B | -6.11%-6.45B | -6.34%-6.31B | -5.79%-6.17B | -5.66%-6.05B | -5.66%-6.05B |
Goodwill and other intangible assets | -17.63%280.39M | -30.15%310.69M | -29.62%317.95M | 34.44%329.71M | 34.44%329.71M | 35.67%340.4M | 73.40%444.81M | 65.90%451.74M | -20.26%245.25M | -20.26%245.25M |
-Goodwill | ---- | ---- | ---- | -79.60%18.46M | -79.60%18.46M | -79.60%18.47M | 0.00%90.52M | --90.52M | -30.23%90.52M | -30.23%90.52M |
-Other intangible assets | ---- | ---- | ---- | 101.15%311.25M | 101.15%311.25M | 100.73%321.93M | 113.43%354.29M | --361.22M | -12.99%154.73M | -12.99%154.73M |
Non current deferred assets | --463.1M | --478.57M | --484.1M | --500.88M | --500.88M | ---- | ---- | ---- | --0 | --0 |
Other non current assets | 110.04%855.97M | 117.88%823M | 36.34%468.21M | 2.97%402.64M | 2.97%402.64M | 13.73%407.54M | 82.20%377.74M | 66.07%343.42M | 85.63%391.04M | 85.63%391.04M |
Total non current assets | 6.62%9.92B | 5.15%9.92B | 2.42%9.7B | 3.93%9.75B | 3.93%9.75B | -1.60%9.31B | 0.16%9.43B | -0.45%9.47B | -2.79%9.39B | -2.79%9.39B |
Total assets | 5.81%14.11B | -3.58%13.29B | -1.85%13.47B | 4.33%14B | 4.33%14B | 13.22%13.34B | 16.92%13.78B | 12.68%13.72B | 7.06%13.42B | 7.06%13.42B |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Payables | 13.50%370.12M | 9.73%351.95M | 19.45%360.16M | 57.19%381.1M | 57.19%381.1M | 88.30%326.11M | 79.39%320.75M | 46.91%301.52M | -0.52%242.44M | -0.52%242.44M |
-accounts payable | 13.35%212.99M | 12.42%200.65M | -3.69%176.42M | 5.46%208.26M | 5.46%208.26M | 35.03%187.9M | 16.04%178.49M | 11.06%183.18M | 15.79%197.47M | 15.79%197.47M |
-Total tax payable | 13.69%157.13M | 6.35%151.3M | 55.27%183.74M | 284.35%172.83M | 284.35%172.83M | 306.06%138.21M | 469.38%142.27M | 193.59%118.34M | -38.55%44.97M | -38.55%44.97M |
Current accrued expenses | 10.55%410.78M | -11.65%290.7M | 9.01%337.07M | 7.83%353.83M | 7.83%353.83M | 20.57%371.58M | 3.00%329.03M | -7.05%309.22M | -6.66%328.13M | -6.66%328.13M |
Current debt and capital lease obligation | 1,005.32%1.24B | 3,030.41%1.29B | 802.12%1.29B | 29.60%709.59M | 29.60%709.59M | -79.47%112.1M | -92.43%41.25M | 186.32%143.16M | 995.09%547.54M | 995.09%547.54M |
-Current debt | 1,005.32%1.24B | 3,030.41%1.29B | 802.12%1.29B | 29.60%709.59M | 29.60%709.59M | -79.47%112.1M | -92.43%41.25M | 186.32%143.16M | 995.09%547.54M | 995.09%547.54M |
Current deferred liabilities | 4.06%538.14M | -1.92%488.57M | -0.20%489.87M | 7.34%543.29M | 7.34%543.29M | 18.56%517.15M | 20.73%498.14M | 15.80%490.85M | 15.99%506.15M | 15.99%506.15M |
Current liabilities | 81.19%2.74B | 93.23%2.6B | 92.07%2.63B | 21.48%2.2B | 21.48%2.2B | -7.40%1.51B | -16.77%1.35B | 18.77%1.37B | 40.65%1.81B | 40.65%1.81B |
Non current liabilities | ||||||||||
Long term debt and capital lease obligation | -8.47%12.17B | -17.18%11.36B | -15.87%11.56B | -3.97%12.66B | -3.97%12.66B | 13.83%13.29B | 19.47%13.71B | 14.59%13.73B | 9.87%13.18B | 9.87%13.18B |
-Long term debt | -9.69%10.55B | -19.52%9.74B | -18.06%9.92B | -4.67%11.03B | -4.67%11.03B | 0.94%11.68B | 6.45%12.1B | 1.97%12.11B | -2.65%11.57B | -2.65%11.57B |
-Long term capital lease obligation | 0.34%1.62B | 0.38%1.62B | 0.46%1.64B | 1.03%1.63B | 1.03%1.63B | 1,394.03%1.61B | 1,369.15%1.61B | 1,336.20%1.63B | 1,302.20%1.62B | 1,302.20%1.62B |
Other non current liabilities | 11.81%265.65M | 0.81%234.42M | -2.62%228.83M | 296.53%236.21M | 296.53%236.21M | 278.69%237.59M | 241.90%232.54M | 225.88%234.99M | -25.00%59.57M | -25.00%59.57M |
Total non current liabilities | -8.11%12.43B | -16.88%11.59B | -15.64%11.78B | -2.62%12.9B | -2.62%12.9B | 15.25%13.53B | 20.78%13.94B | 15.85%13.97B | 9.64%13.24B | 9.64%13.24B |
Total liabilities | 0.87%15.18B | -7.19%14.19B | -6.02%14.42B | 0.28%15.1B | 0.28%15.1B | 12.48%15.05B | 16.17%15.29B | 16.10%15.34B | 12.63%15.06B | 12.63%15.06B |
Shareholders'equity | ||||||||||
Share capital | 0.38%1.34M | 0.45%1.34M | 0.53%1.34M | 0.53%1.33M | 0.53%1.33M | 0.68%1.33M | 0.68%1.33M | 0.76%1.33M | 0.68%1.32M | 0.68%1.32M |
-common stock | 0.38%1.34M | 0.45%1.34M | 0.53%1.34M | 0.53%1.33M | 0.53%1.33M | 0.68%1.33M | 0.68%1.33M | 0.76%1.33M | 0.68%1.32M | 0.68%1.32M |
-Preferred stock | --0 | --0 | --0 | --0 | --0 | --0 | --0 | --0 | --0 | --0 |
Retained earnings | 30.40%-1.93B | 28.82%-1.87B | 27.74%-1.95B | 23.78%-2.07B | 23.78%-2.07B | -0.86%-2.77B | -0.82%-2.62B | -9.23%-2.7B | -18.52%-2.71B | -18.52%-2.71B |
Paid-in capital | 1.42%3.69B | 1.46%3.67B | 1.44%3.66B | 1.76%3.65B | 1.76%3.65B | 1.37%3.63B | 1.48%3.62B | 0.93%3.6B | 2.32%3.58B | 2.32%3.58B |
Less: Treasury stock | 20.19%2.04B | 17.28%1.92B | 13.12%1.85B | 13.08%1.84B | 13.08%1.84B | 4.95%1.69B | 3.17%1.64B | 12.89%1.63B | 13.05%1.62B | 13.05%1.62B |
Gains losses not affecting retained earnings | -170.91%-4.41M | -72.04%2.21M | -53.89%4.83M | 943.07%3.41M | 943.07%3.41M | -40.14%6.22M | -19.46%7.92M | 12.62%10.48M | -106.73%-404K | -106.73%-404K |
Total stockholders'equity | 65.76%-281.4M | 82.57%-109.82M | 80.91%-136.95M | 66.52%-251.38M | 66.52%-251.38M | -7.68%-821.76M | -3.43%-630.25M | -112.86%-717.43M | -250.17%-750.84M | -250.17%-750.84M |
Noncontrolling interests | 11.63%-784.08M | 9.67%-792.14M | 9.96%-809.43M | 4.49%-849.55M | 4.49%-849.55M | -6.41%-887.29M | -14.65%-876.91M | -29.12%-898.94M | -43.06%-889.53M | -43.06%-889.53M |
Total equity | 37.66%-1.07B | 40.16%-901.96M | 41.45%-946.38M | 32.88%-1.1B | 32.88%-1.1B | -7.02%-1.71B | -9.67%-1.51B | -56.43%-1.62B | -96.17%-1.64B | -96.17%-1.64B |
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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