ALTI

AlTi Global, Inc. ALTI

Finances

2024 2023 2022 2021 2020 2019
Revenue 206.935 M -17.52 % 250.880 M 226.36 % 76.872 M 1.54 % 75.703 M 44.85 % 52.263 M 11.03 % 47.070 M
Net income -103.034 M 36.64 % -162.606 M -1 952.21 % 8.779 M 122.87 % 3.939 M 159.65 % -6.603 M -76.89 % -3.733 M
Income before tax -195.438 M 38.22 % -316.337 M -5 682.07 % -5.471 M -227.06 % 4.306 M 185.57 % -5.032 M -56.17 % -3.222 M
Income before tax ratio -0.94 25.10 % -1.26 -1 671.68 % -0.07 -225.12 % 0.06 159.08 % -0.10 -40.66 % -0.07
EBITDA -73.128 M 24.34 % -96.650 M -2 140.32 % 4.737 M -51.76 % 9.819 M 112.08 % 4.630 M 45.72 % 3.177 M
Net income ratio -0.50 23.18 % -0.65 -667.54 % 0.11 119.48 % 0.05 141.18 % -0.13 -59.31 % -0.08
Ratio EBITDA -0.35 8.27 % -0.39 -725.17 % 0.06 -52.49 % 0.13 46.41 % 0.09 31.24 % 0.07
Gross profit ratio 0.18 -4.09 % 0.19 -51.12 % 0.38 2.18 % 0.37 59.69 % 0.23 -19.63 % 0.29
Weighted average shs out dil 79.693 M 29.80 % 61.397 M 6.80 % 57.488 M 0.00 % 57.488 M 0.00 % 57.488 M 0.00 % 57.488 M
Weighted average shs out 79.693 M 29.80 % 61.397 M 6.80 % 57.488 M 0.00 % 57.488 M 0.00 % 57.488 M 0.00 % 57.488 M
EPS diluted -1.29 52.22 % -2.70 -1 450.00 % 0.20 1 211.11 % -0.02 -17 900.00 % 0.00 0.00 % 0.00
Earnings per share -1.29 52.22 % -2.70 -1 450.00 % 0.20 1 211.11 % -0.02 -17 900.00 % 0.00 0.00 % 0.00
Gross profit 37.046 M -20.89 % 46.828 M 59.53 % 29.354 M 3.76 % 28.290 M 131.30 % 12.231 M -10.76 % 13.706 M
Income tax expense -21.133 M -100.62 % -10.534 M -2 098.86 % 527.000 K 2.33 % 515.000 K 219.90 % -429.511 K -184.05 % 511.024 K
Cost of revenue 169.889 M -16.74 % 204.052 M 329.42 % 47.518 M -5.75 % 50.416 M 25.94 % 40.032 M 19.99 % 33.364 M
General and administrative expenses 100.508 M -13.18 % 115.765 M 284.99 % 30.070 M 50.48 % 19.983 M 58.23 % 12.629 M -0.62 % 12.708 M
Selling and marketing expenses 3.496 M 57.69 % 2.217 M 89.49 % 1.170 M 25.67 % 931.000 K 0.000 0.000
Other expenses 19.891 M -13.34 % 22.953 M 3 710.27 % 602.399 K 11.77 % 538.961 K -89.36 % 5.064 M -2.26 % 5.181 M
Operating expenses 123.895 M -12.09 % 140.935 M 359.49 % 30.672 M 49.46 % 20.522 M 15.99 % 17.694 M -1.09 % 17.889 M
Cost and expenses 293.784 M -14.84 % 344.987 M 341.22 % 78.190 M 15.10 % 67.935 M 17.69 % 57.726 M 12.63 % 51.253 M
Research and development expenses 0.000 0.000 0.000 0.000 0.000 0.000
Selling general and administrative expenses 104.004 M -11.85 % 117.982 M 292.36 % 30.070 M 50.48 % 19.983 M 58.23 % 12.629 M -0.62 % 12.708 M
Interest income 5.362 M 0.000 -100.00 % 4.975 M 15 790.18 % 31.308 K -90.78 % 339.457 K 138.64 % 142.245 K
Interest expense 22.146 M 52.72 % 14.501 M 3 296.02 % 427.000 K 7.56 % 397.000 K -60.07 % 994.300 K 22.23 % 813.457 K
Depreciation and amortization 14.552 M -14.60 % 17.039 M 628.47 % 2.339 M 14.04 % 2.051 M -76.34 % 8.668 M 54.23 % 5.620 M
Operating income -86.849 M 7.71 % -94.107 M -7 040.14 % -1.318 M -116.97 % 7.768 M 374.56 % -2.829 M -15.81 % -2.443 M
Operating income ratio -0.42 -11.89 % -0.38 -2 087.81 % -0.02 -116.71 % 0.10 289.55 % -0.05 -4.31 % -0.05
Total other income expenses net -108.589 M 51.14 % -222.230 M -5 251.07 % -4.153 M -19.96 % -3.462 M -57.16 % -2.203 M -23.63 % -1.782 M
2024 2023 2022 2021 2020 2019
2024 2023 2022 2021 2020 2019
Net debt -2.439 M -101.07 % 227.128 M 1 008.51 % 20.489 M 915.82 % -2.512 M -382.88 % 887.835 K -61.58 % 2.311 M
Total investments 176.191 M -2.16 % 180.088 M 2 257.80 % 7.638 M -48.38 % 14.797 M 21.71 % 12.158 M 1.15 % 12.019 M
Total debt 63.055 M -74.00 % 242.476 M 660.11 % 31.900 M 205.25 % 10.450 M 13.77 % 9.186 M -1.95 % 9.368 M
Accumulated other comprehensive income loss -1.569 M -117.01 % 9.222 M -59.91 % 23.001 M 0.00 % 23.001 M 0.00 % 23.001 M 0.00 % 23.001 M
Retained earnings -296.561 M -55.63 % -190.552 M -579.94 % -28.025 M -2 479.61 % 1.178 M -92.68 % 16.096 M -19.92 % 20.099 M
Common stock 9.000 K 28.57 % 7.000 K -99.96 % 18.610 M 250 269.97 % 7.433 K 6.98 % 6.948 K 0.99 % 6.880 K
Total equity 970.195 M 23.12 % 788.026 M 4 394.53 % 17.533 M -68.86 % 56.305 M -9.75 % 62.387 M -1.97 % 63.643 M
Other non current liabilities 133.555 M -16.83 % 160.582 M 767.87 % 18.503 M -95.13 % 380.200 M 9 377.74 % 4.012 M 0.000
Long term debt 63.055 M -74.00 % 242.476 M 660.11 % 31.900 M 0.000 -100.00 % 9.050 M -5.72 % 9.599 M
Total non current liabilities 207.587 M -49.39 % 410.154 M 672.10 % 53.122 M 2 612.75 % 1.958 M -86.98 % 15.041 M 27.65 % 11.783 M
Other current liabilities 9.412 M -76.83 % 40.618 M -8.01 % 44.156 M 97.04 % 22.409 M 99.36 % 11.240 M 26.35 % 8.896 M
Deferred revenue 0.000 -100.00 % 66.000 K 0.000 0.000 0.000 0.000
Short term debt 0.000 0.000 0.000 -100.00 % 14.104 M 3 252.20 % 420.744 K 27.99 % 328.732 K
Total current liabilities 78.051 M 14.13 % 68.387 M 13.11 % 60.459 M 47.81 % 40.904 M 145.42 % 16.667 M 28.04 % 13.018 M
Total liabilities 285.638 M -40.31 % 478.541 M 545.49 % 74.136 M 72.96 % 42.862 M 54.72 % 27.704 M 11.71 % 24.800 M
Other non current assets 942.000 K -63.95 % 2.613 M 109.65 % -27.076 M -107.85 % 345.031 M 0.000 0.000
Long term investments 176.191 M -2.16 % 180.088 M 2 260.10 % 7.631 M -48.43 % 14.797 M 21.76 % 12.153 M 1.13 % 12.017 M
Intangible assets 469.563 M 7.78 % 435.677 M 705.42 % 54.093 M 187.69 % 18.803 M -11.08 % 21.146 M -9.43 % 23.346 M
GoodWill 377.842 M -8.27 % 411.904 M 3 345.06 % 11.956 M -19.43 % 14.840 M -19.87 % 18.518 M -13.03 % 21.292 M
Goodwill and intangible assets 847.405 M -0.02 % 847.581 M 1 183.25 % 66.049 M 96.33 % 33.642 M -15.18 % 39.664 M -11.14 % 44.638 M
Property plant equipment net 66.577 M 30.94 % 50.845 M 359.30 % 11.070 M 1 360.13 % 758.152 K -17.18 % 915.413 K -11.72 % 1.037 M
Total non current assets 1.113 B 2.91 % 1.081 B 1 774.55 % 57.674 M 17.23 % 49.198 M -6.70 % 52.732 M -8.60 % 57.692 M
Other current assets 9.116 M -85.91 % 64.679 M 337.98 % 14.768 M -36.49 % 23.254 M 66.60 % 13.958 M 24.91 % 11.175 M
Short term investments 0.000 0.000 -100.00 % 7.446 K 29.70 % 5.741 K 16.21 % 4.940 K 144.68 % 2.019 K
cash and cash equivalents 65.494 M 326.73 % 15.348 M 115.23 % 7.131 M -44.98 % 12.962 M 56.20 % 8.298 M 17.58 % 7.057 M
Cash and short term investments 65.494 M 326.73 % 15.348 M 206 024.09 % 7.446 K -98.65 % 551.258 K -93.36 % 8.303 M 17.61 % 7.060 M
Total current assets 143.213 M -22.77 % 185.440 M 440.41 % 34.315 M -49.12 % 67.441 M 80.52 % 37.359 M 21.49 % 30.752 M
Inventory 0.000 0.000 0.000 -100.00 % 18.034 M 0.000 0.000
Net receivables 68.603 M -34.92 % 105.413 M 439.47 % 19.540 M -23.68 % 25.602 M 69.57 % 15.098 M 20.62 % 12.517 M
Tax assets 21.505 M 0.000 0.000 100.00 % -345.031 M 0.000 0.000
Other assets 0.000 0.000 0.000 0.000 0.000 0.000
Account payables 37.532 M 35.48 % 27.703 M 174.33 % 10.098 M 243.95 % 2.936 M 17.92 % 2.490 M 29.94 % 1.916 M
Tax payables 31.107 M 0.000 -100.00 % 6.204 M 326.60 % 1.454 M -42.20 % 2.516 M 34.08 % 1.877 M
Deferred revenue non current 0.000 -100.00 % 66.000 K 0.000 0.000 0.000 0.000
Minority interest 311.793 M -30.11 % 446.094 M 10 099 379.28 % 4.417 K -67.22 % 13.476 K -99.16 % 1.596 M 514.21 % 259.825 K
Capital lease obligations 63.055 M 12.35 % 56.123 M 423.88 % 10.713 M 6 141.62 % 171.638 K -65.73 % 500.850 K -35.29 % 773.984 K
Preferred stock 3.940 M 0.000 0.000 0.000 0.000 0.000
Other total stockholders equity 652.857 M 24.77 % 523.255 M 0.000 -100.00 % 43.331 M -0.95 % 43.745 M 64.54 % 26.586 M
Deferred tax liabilities non current 10.977 M -22.20 % 14.109 M 601.26 % 2.012 M 2.74 % 1.958 M -1.04 % 1.979 M -5.73 % 2.099 M
Other liabilities 0.000 0.000 0.000 0.000 0.000 0.000
Total assets 1.256 B -0.85 % 1.267 B 1 276.87 % 91.989 M -7.24 % 99.167 M 10.07 % 90.091 M 1.86 % 88.443 M
2024 2023 2022 2021 2020 2019
2024 2023 2022 2021 2020 2019
Deferred income tax -24.055 M -94.20 % -12.387 M 0.000 100.00 % -536.461 K -70.22 % -315.163 K -161.67 % 511.024 K
Stock based compensation 17.454 M -52.50 % 36.749 M 951.97 % 3.493 M 194 282.88 % -1.799 K -118.09 % 9.945 K 12.78 % 8.818 K
Change in working capital 20.452 M 178.13 % -26.176 M -455.56 % 7.362 M 205.60 % 2.409 M 80.44 % 1.335 M 123.61 % -5.655 M
Accounts receivables 38.229 M 222.98 % -31.086 M -2 426.80 % 1.336 M 150.45 % -2.648 M 36.48 % -4.169 M 0.000
Inventory 0.000 -100.00 % 16.846 M 360.28 % 3.660 M 0.000 0.000 0.000
Accounts payables -1.214 M 93.55 % -18.835 M -926.46 % 2.279 M 0.000 0.000 0.000
Other working capital -16.563 M -158.77 % 28.182 M 4 460.19 % 618.000 K -87.78 % 5.057 M -8.12 % 5.504 M 0.000
Other non cash items 95.250 M -54.40 % 208.872 M 61 832.53 % -338.350 K -107.77 % 4.357 M 738.64 % -682.257 K -111.95 % 5.708 M
Net cash provided by operating activities -50.652 M 38.01 % -81.706 M -1 291.40 % 6.858 M -52.55 % 14.452 M 333.93 % 3.330 M 35.37 % 2.460 M
Investments in property plant and equipment -7.713 M -1 124.29 % -630.000 K -303.85 % -156.000 K 62.43 % -415.228 K -8.83 % -381.522 K 93.55 % -5.916 M
Acquisitions net -46.878 M 60.54 % -118.812 M -1 693.56 % -6.624 M -165 792.27 % 3.998 K -94.37 % 71.072 K 100.87 % -8.128 M
Purchases of investments -20.380 M -29.92 % -15.687 M 95.50 % -348.907 M -204 886.12 % -170.210 K -115.72 % -78.904 K -217.82 % -24.827 K
Sales maturities of investments 818.000 K -61.18 % 2.107 M -99.40 % 348.907 M 339 501.78 % 102.740 K -54.21 % 224.361 K 962.16 % 21.123 K
Other investing activites -1.532 M -2 142.67 % 75.000 K 116.72 % -448.623 K 95.16 % -9.268 M -296.53 % -2.337 M -27 532.93 % 8.520 K
Net cash used for investing activites -75.685 M 43.07 % -132.947 M -1 739.08 % -7.229 M 25.83 % -9.747 M -289.51 % -2.502 M 82.18 % -14.039 M
Debt repayment -188.804 M -399.47 % 63.047 M 564.35 % 9.490 M 383.62 % -3.346 M -1 002.01 % -303.627 K -103.76 % 8.081 M
Common stock issued 385.017 M 0.000 0.000 -100.00 % 346.460 M 17 911.53 % 1.924 M -86.03 % 13.768 M
Common stock repurchased 0.000 100.00 % -4.215 M 0.000 0.000 0.000 0.000
Dividends paid -6.771 M -100.80 % -3.372 M 65.71 % -9.835 M -14.60 % -8.582 M -4 492.77 % -186.859 K 98.19 % -10.336 M
Other financing activites 275.174 M 1 515.43 % -19.441 M 0.000 100.00 % -334.571 M -33 008.96 % -1.011 M 82.94 % -5.924 M
Net cash used provided by financing activities 174.259 M 383.80 % 36.019 M 10 540.29 % -345.000 K -790.37 % -38.748 K -109.17 % 422.543 K -92.44 % 5.589 M
Effect of forex changes on cash -673.000 K -124.10 % 2.793 M 164.27 % -4.346 M -171 062.58 % -2.539 K 74.88 % -10.106 K 88.22 % -85.817 K
Net change in cash 47.249 M 126.87 % -175.841 M -37 656.97 % -465.718 K -109.99 % 4.664 M 275.94 % 1.241 M 120.42 % -6.076 M
Cash at beginning of period 18.245 M 155.85 % 7.131 M 1 193.59 % 551.258 K -93.36 % 8.298 M 17.58 % 7.057 M -46.26 % 13.133 M
Cash at end of period 65.494 M 258.97 % 18.245 M 21 229.20 % 85.540 K -99.34 % 12.962 M 56.20 % 8.298 M 17.58 % 7.057 M
Operating cash flow -50.652 M 38.01 % -81.706 M -8 360.65 % -965.718 K -106.68 % 14.452 M 333.93 % 3.330 M 35.37 % 2.460 M
Capital expenditure -7.713 M -1 124.29 % -630.000 K -388.20 % -129.046 K 68.92 % -415.228 K -8.83 % -381.522 K 93.55 % -5.916 M
Free CashFlow -58.365 M 29.11 % -82.336 M -7 420.89 % -1.095 M -107.80 % 14.037 M 375.99 % 2.949 M 185.33 % -3.456 M
2024 2023 2022 2021 2020 2019
2025-06-30 2025-03-31 2024-12-31 2024-09-30 2024-06-30 2024-03-31 2023-12-31 2023-09-30 2023-06-30 2023-03-31 2022-12-31 2022-09-30 2022-06-30 2022-03-31 2021-12-31 2021-09-30 2021-06-30 2021-03-31 2020-12-31
Revenue 53.127 M -8.34 % 57.963 M 8.69 % 53.327 M -0.03 % 53.343 M 7.87 % 49.453 M -2.67 % 50.812 M -44.59 % 91.708 M 86.23 % 49.244 M -5.08 % 51.881 M -10.62 % 58.047 M 229.29 % 17.628 M -6.69 % 18.891 M -21.37 % 24.024 M 13.96 % 21.082 M -16.82 % 25.344 M 24.08 % 20.426 M 33.47 % 15.304 M 8.62 % 14.089 M -29.51 % 19.988 M
Net income -24.362 M -1 375.50 % 1.910 M 103.31 % -57.751 M 15.86 % -68.638 M -1 045.11 % -5.994 M -120.42 % 29.349 M 160.41 % -48.587 M 45.24 % -88.721 M -307.58 % 42.740 M 147.34 % -90.290 M -333.85 % -20.811 M -90.72 % -10.912 M -1 230.78 % 965.000 K 3 116.13 % 30.005 K 101.11 % -2.694 M -317.64 % 1.238 M 36.99 % 903.569 K -52.64 % 1.908 M -10.16 % 2.124 M
Income before tax -34.752 M -673.30 % -4.494 M 94.83 % -86.943 M 28.08 % -120.888 M -1 144.34 % -9.715 M -143.28 % 22.448 M 131.25 % -71.841 M 58.44 % -172.856 M -1 334.69 % 14.000 M 116.35 % -85.640 M -841.29 % -9.098 M 32.40 % -13.458 M -780.41 % 1.978 M 153.87 % 779.097 K 130.72 % -2.536 M -217.08 % 2.166 M 59.61 % 1.357 M 219.87 % 424.292 K -63.15 % 1.151 M
Income before tax ratio -0.65 -743.69 % -0.08 95.24 % -1.63 28.06 % -2.27 -1 053.60 % -0.20 -144.47 % 0.44 156.40 % -0.78 77.68 % -3.51 -1 400.80 % 0.27 118.29 % -1.48 -185.85 % -0.52 27.55 % -0.71 -965.28 % 0.08 122.78 % 0.04 136.93 % -0.10 -194.36 % 0.11 19.59 % 0.09 194.48 % 0.03 -47.72 % 0.06
EBITDA -30.131 M -502 283.33 % 6.000 K 100.01 % -76.131 M -2 505.44 % -2.922 M -178.02 % -1.051 M 93.33 % -15.762 M 41.19 % -26.803 M -38.88 % -19.299 M -105.22 % -9.404 M 75.80 % -38.863 M -78.20 % -21.808 M -10 738.25 % 205.000 K -87.77 % 1.676 M -6.05 % 1.784 M 475.91 % -474.577 K -110.95 % 4.332 M 27.69 % 3.393 M 76.19 % 1.926 M -51.90 % 4.004 M
Net income ratio -0.46 -1 491.60 % 0.03 103.04 % -1.08 15.84 % -1.29 -961.61 % -0.12 -120.98 % 0.58 209.02 % -0.53 70.59 % -1.80 -318.70 % 0.82 152.96 % -1.56 -31.75 % -1.18 -104.39 % -0.58 -1 538.01 % 0.04 2 722.18 % 0.00 101.34 % -0.11 -275.41 % 0.06 2.64 % 0.06 -56.40 % 0.14 27.46 % 0.11
Ratio EBITDA -0.57 -547 995.71 % 0.00 100.01 % -1.43 -2 506.22 % -0.05 -157.75 % -0.02 93.15 % -0.31 -6.14 % -0.29 25.42 % -0.39 -116.21 % -0.18 72.93 % -0.67 45.88 % -1.24 -11 500.73 % 0.01 -84.45 % 0.07 -17.56 % 0.08 551.92 % -0.02 -108.83 % 0.21 -4.33 % 0.22 62.21 % 0.14 -31.77 % 0.20
Gross profit ratio 0.16 -40.71 % 0.27 512.14 % 0.04 -95.23 % 0.93 334.14 % 0.21 -3.60 % 0.22 -7.87 % 0.24 11.08 % 0.22 -41.65 % 0.37 520.14 % -0.09 93.76 % -1.41 -2 101.14 % -0.06 -117.26 % 0.37 7.57 % 0.35 19.59 % 0.29 -24.12 % 0.38 0.12 % 0.38 41.48 % 0.27 4.69 % 0.26
Weighted average shs out dil 99.916 M 5.30 % 94.884 M 19.06 % 79.693 M -7.76 % 86.400 M 20.44 % 71.738 M 7.52 % 66.718 M 2.65 % 64.996 M 2.25 % 63.569 M 7.22 % 59.286 M 3.02 % 57.547 M 0.10 % 57.488 M 0.00 % 57.488 M 0.00 % 57.488 M 0.00 % 57.488 M 0.00 % 57.488 M 0.00 % 57.488 M 0.00 % 57.488 M 0.00 % 57.488 M 0.00 % 57.488 M
Weighted average shs out 99.916 M 5.30 % 94.884 M 19.06 % 79.693 M -7.76 % 86.400 M 20.44 % 71.738 M 7.52 % 66.718 M 3.46 % 64.487 M 1.44 % 63.569 M 7.22 % 59.286 M 3.02 % 57.547 M 0.10 % 57.488 M 0.00 % 57.488 M 0.00 % 57.488 M 0.00 % 57.488 M 0.00 % 57.488 M 0.00 % 57.488 M 0.00 % 57.488 M 0.00 % 57.488 M 0.00 % 57.488 M
EPS diluted -0.33 -735.44 % -0.04 94.19 % -0.68 13.92 % -0.79 -844.98 % -0.08 -146.44 % 0.18 123.38 % -0.77 45.39 % -1.41 -201 528.57 % 0.00 143.75 % 0.00 -300.00 % 0.00 -100.00 % 0.00 95.56 % 0.00 -102.61 % 0.17 374.87 % -0.06 -391.59 % 0.02 -2.43 % 0.02 125.88 % -0.09 -330.80 % 0.04
Earnings per share -0.33 -735.44 % -0.04 94.10 % -0.67 15.19 % -0.79 -844.98 % -0.08 -122.00 % 0.38 149.35 % -0.77 45.39 % -1.41 -201 528.57 % 0.00 143.75 % 0.00 -300.00 % 0.00 -100.00 % 0.00 95.56 % 0.00 -102.61 % 0.17 374.87 % -0.06 -391.59 % 0.02 -2.43 % 0.02 125.88 % -0.09 -330.80 % 0.04
Gross profit 8.526 M -45.66 % 15.689 M 565.35 % 2.358 M -95.23 % 49.451 M 368.29 % 10.560 M -6.18 % 11.255 M -48.95 % 22.049 M 106.86 % 10.659 M -44.61 % 19.245 M 475.51 % -5.125 M 79.44 % -24.927 M -1 953.93 % -1.214 M -113.57 % 8.944 M 22.58 % 7.296 M -0.52 % 7.335 M -5.85 % 7.790 M 33.63 % 5.830 M 53.67 % 3.794 M -26.20 % 5.141 M
Income tax expense -4.709 M -192.12 % -1.612 M 85.68 % -11.257 M -18.71 % -9.483 M -1 154.37 % -756.000 K -308.26 % 363.000 K -82.24 % 2.044 M 214.70 % -1.782 M 88.46 % -15.446 M -432.17 % 4.650 M 0.000 100.00 % -2.546 M -322.81 % 1.143 M 52.54 % 749.092 K 875.42 % 76.797 K -91.72 % 928.038 K 275.73 % 246.993 K 113.81 % -1.788 M -48.98 % -1.200 M
Cost of revenue 44.601 M 5.50 % 42.274 M -17.06 % 50.969 M 1 209.58 % 3.892 M -89.99 % 38.893 M -1.68 % 39.557 M -43.21 % 69.659 M 80.53 % 38.585 M 18.23 % 32.636 M -48.34 % 63.172 M 48.45 % 42.555 M 111.66 % 20.105 M 33.32 % 15.080 M 9.39 % 13.785 M -23.46 % 18.010 M 42.52 % 12.636 M 33.37 % 9.474 M -7.98 % 10.296 M -30.66 % 14.847 M
General and administrative expenses 31.918 M 37.42 % 23.226 M -38.59 % 37.824 M 176.92 % 13.659 M -28.76 % 19.174 M -9.47 % 21.180 M -29.62 % 30.092 M 4.17 % 28.888 M 13.47 % 25.459 M -18.72 % 31.324 M 340.01 % 7.119 M -30.57 % 10.253 M 67.72 % 6.113 M 4.33 % 5.859 M -37.60 % 9.390 M 105.71 % 4.565 M 35.81 % 3.361 M 26.05 % 2.667 M -27.80 % 3.693 M
Selling and marketing expenses 1.128 M 65.15 % 683.000 K -11.53 % 772.000 K 1.98 % 757.000 K -37.02 % 1.202 M 57.12 % 765.000 K 64.52 % 465.000 K -29.33 % 658.000 K 15.85 % 568.000 K 7.98 % 526.000 K 6.91 % 492.000 K 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Other expenses 5.627 M 6.79 % 5.269 M 5.91 % 4.975 M -90.25 % 51.048 M 893.35 % 5.139 M 29.19 % 3.978 M -41.25 % 6.771 M 83.00 % 3.700 M 624.08 % -706.000 K -110.92 % 6.463 M 182.39 % -7.844 M -366.14 % 2.947 M 102.62 % 1.455 M 1.53 % 1.433 M 0.000 100.00 % -727.841 -535.18 % 167.251 -99.05 % 17.619 K 0.000
Operating expenses 38.673 M 32.54 % 29.178 M -33.03 % 43.571 M -33.44 % 65.464 M 156.57 % 25.515 M -1.57 % 25.923 M -30.55 % 37.328 M 12.28 % 33.246 M 7.29 % 30.988 M -19.12 % 38.313 M 384.33 % 7.910 M -40.07 % 13.200 M 74.43 % 7.568 M 3.78 % 7.292 M -32.75 % 10.843 M 81.70 % 5.968 M 24.01 % 4.812 M 17.82 % 4.084 M -14.94 % 4.802 M
Cost and expenses 83.274 M 16.55 % 71.452 M -24.42 % 94.540 M 36.31 % 69.356 M 7.68 % 64.408 M -1.64 % 65.480 M -38.80 % 106.987 M 46.78 % 72.889 M 14.56 % 63.624 M -37.31 % 101.485 M 138.48 % 42.555 M 27.77 % 33.305 M 47.06 % 22.648 M 7.45 % 21.077 M -26.95 % 28.852 M 55.09 % 18.604 M 30.22 % 14.287 M -0.65 % 14.380 M -26.81 % 19.649 M
Research and development expenses 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Selling general and administrative expenses 33.046 M 38.22 % 23.909 M -38.05 % 38.596 M 167.73 % 14.416 M -29.25 % 20.376 M -7.15 % 21.945 M -28.18 % 30.557 M 3.42 % 29.546 M 13.52 % 26.027 M -18.28 % 31.850 M 318.47 % 7.611 M -25.77 % 10.253 M 67.72 % 6.113 M 4.33 % 5.859 M -37.60 % 9.390 M 105.71 % 4.565 M 35.81 % 3.361 M 26.05 % 2.667 M -27.80 % 3.693 M
Interest income 305.000 K -41.01 % 517.000 K -72.11 % 1.854 M -30.95 % 2.685 M 376.91 % 563.000 K 116.54 % 260.000 K 0.000 0.000 0.000 0.000 -100.00 % 32.898 K -59.35 % 80.926 K 160.62 % 31.051 K 2.51 % 30.291 K 495.69 % 5.085 K -95.44 % 111.595 K 252.86 % 31.626 K -43.29 % 55.764 K 0.58 % 55.445 K
Interest expense 2.000 K -98.68 % 151.000 K -97.92 % 7.261 M 39.80 % 5.194 M 7.07 % 4.851 M 0.23 % 4.840 M 15.21 % 4.201 M 14.53 % 3.668 M 8.81 % 3.371 M 3.37 % 3.261 M -15.00 % 3.836 M 43.90 % 2.666 M 1 525.26 % 164.026 K 8.46 % 151.235 K -52.80 % 320.415 K -48.16 % 618.061 K 30.48 % 473.669 K 18.62 % 399.325 K 146.45 % 162.033 K
Depreciation and amortization 4.619 M 6.21 % 4.349 M 22.47 % 3.551 M -23.16 % 4.621 M 21.19 % 3.813 M 48.54 % 2.567 M -50.55 % 5.191 M 41.21 % 3.676 M 0.57 % 3.655 M -19.08 % 4.517 M 3.73 % 4.355 M 646.93 % 583.000 K -2.35 % 597.000 K -2.13 % 610.000 K -71.95 % 2.175 M 13.45 % 1.917 M -13.81 % 2.224 M 3.19 % 2.155 M -15.18 % 2.541 M
Operating income -30.147 M -123.49 % -13.489 M 67.27 % -41.213 M -157.37 % -16.013 M -7.07 % -14.955 M -1.96 % -14.668 M 4.00 % -15.279 M 35.38 % -23.645 M 42.52 % -41.136 M 5.30 % -43.438 M -74.26 % -24.927 M -72.94 % -14.414 M -799.97 % 2.059 M 122.65 % 924.845 K 123.35 % -3.961 M -317.28 % 1.823 M 79.10 % 1.018 M 450.17 % -290.647 K -157.65 % 504.146 K
Operating income ratio -0.57 -143.84 % -0.23 69.89 % -0.77 -157.45 % -0.30 0.73 % -0.30 -4.76 % -0.29 -73.27 % -0.17 65.30 % -0.48 39.44 % -0.79 -5.96 % -0.75 47.08 % -1.41 -85.33 % -0.76 -990.16 % 0.09 95.38 % 0.04 128.07 % -0.16 -275.12 % 0.09 34.19 % 0.07 422.37 % -0.02 -181.79 % 0.03
Total other income expenses net -4.605 M -151.20 % 8.995 M 119.67 % -45.730 M 56.40 % -104.875 M -2 101.43 % 5.240 M -85.88 % 37.116 M 165.62 % -56.562 M 62.09 % -149.211 M -679.62 % 25.743 M 161.00 % -42.202 M -366.61 % 15.829 M 6 807.29 % -236.000 K -321.43 % -56.000 K 41.05 % -95.000 K -106.67 % 1.424 M 40.73 % 1.012 M 112.39 % 476.557 K -33.34 % 714.939 K -25.15 % 955.179 K
2025-06-30 2025-03-31 2024-12-31 2024-09-30 2024-06-30 2024-03-31 2023-12-31 2023-09-30 2023-06-30 2023-03-31 2022-12-31 2022-09-30 2022-06-30 2022-03-31 2021-12-31 2021-09-30 2021-06-30 2021-03-31 2020-12-31
2025-06-30 2025-03-31 2024-12-31 2024-09-30 2024-06-30 2024-03-31 2023-12-31 2023-09-30 2023-06-30 2023-03-31 2022-12-31 2022-09-30 2022-06-30 2022-03-31 2021-12-31 2021-09-30 2020-12-31
Net debt 22.597 M 126.67 % 9.969 M 508.73 % -2.439 M 91.32 % -28.101 M -116.70 % 168.283 M 57.42 % 106.902 M -52.93 % 227.128 M 19.44 % 190.168 M 9.35 % 173.913 M 20.84 % 143.916 M 35 410.79 % 405.274 K -98.93 % 37.716 M 1 336.24 % -3.051 M 57.12 % -7.115 M -183.30 % -2.512 M -125.05 % 10.025 M 1 029.14 % 887.835 K
Total investments 153.489 M 2.00 % 150.481 M -14.59 % 176.191 M 0.37 % 175.538 M 3.42 % 169.738 M -1.66 % 172.606 M -4.15 % 180.088 M -6.49 % 192.587 M -5.37 % 203.522 M -5.55 % 215.472 M 2 721.07 % 7.638 M -28.66 % 10.706 M -26.92 % 14.649 M -2.49 % 15.024 M 1.53 % 14.797 M 17.28 % 12.617 M 3.78 % 12.158 M
Total debt 65.011 M 3.50 % 62.810 M -0.39 % 63.055 M -67.50 % 194.037 M -15.00 % 228.267 M -5.34 % 241.139 M -0.55 % 242.476 M 19.82 % 202.364 M 2.19 % 198.019 M 22.46 % 161.706 M 32 846.49 % 490.814 K -99.02 % 50.141 M 385.25 % 10.333 M -0.50 % 10.385 M -0.62 % 10.450 M -47.28 % 19.822 M 115.79 % 9.186 M
Accumulated other comprehensive income loss 6.960 M 817.00 % 759.000 K 148.37 % -1.569 M -147.23 % 3.322 M -52.15 % 6.942 M 10.21 % 6.299 M -31.70 % 9.222 M 131.24 % 3.988 M -56.57 % 9.182 M 85.83 % 4.941 M -78.52 % 23.001 M 0.00 % 23.001 M 0.00 % 23.001 M 0.00 % 23.001 M 0.00 % 23.001 M 0.00 % 23.001 M 0.00 % 23.001 M
Retained earnings -320.768 M -8.10 % -296.743 M -0.06 % -296.561 M -24.18 % -238.810 M -40.33 % -170.172 M -3.65 % -164.178 M 13.84 % -190.552 M -34.22 % -141.965 M -166.63 % -53.244 M 44.93 % -96.686 M -245.00 % -28.025 M -316.56 % -6.728 M -298.78 % 3.384 M 108.88 % 1.620 M 37.58 % 1.178 M -85.85 % 8.325 M -48.27 % 16.096 M
Common stock 10.000 K 11.11 % 9.000 K 0.00 % 9.000 K 0.00 % 9.000 K 28.57 % 7.000 K 0.00 % 7.000 K 0.00 % 7.000 K 16.67 % 6.000 K 0.00 % 6.000 K 0.00 % 6.000 K -100.00 % 349.985 M 4 708 425.52 % 7.433 K 0.00 % 7.433 K 0.00 % 7.433 K 0.00 % 7.433 K 6.69 % 6.967 K 0.27 % 6.948 K
Total equity 990.187 M 1.80 % 972.702 M 0.26 % 970.195 M -6.67 % 1.039 B 12.56 % 923.521 M 2.80 % 898.343 M 14.00 % 788.026 M -6.83 % 845.760 M -17.33 % 1.023 B 6.49 % 960.705 M 4 075.99 % 23.005 M -52.46 % 48.391 M -17.28 % 58.501 M 3.10 % 56.740 M 0.77 % 56.305 M 3.52 % 54.392 M -12.81 % 62.387 M
Other non current liabilities 100.735 M 8.27 % 93.043 M -30.33 % 133.555 M 21.73 % 109.714 M 6.20 % 103.313 M -14.41 % 120.700 M -24.87 % 160.648 M 56.28 % 102.797 M 3.49 % 99.326 M -51.33 % 204.099 M 614.67 % 28.559 M 0.000 0.000 0.000 0.000 100.00 % -3.223 M -180.34 % 4.012 M
Long term debt 65.011 M 3.50 % 62.810 M -6.25 % 66.995 M -64.88 % 190.762 M -13.99 % 221.781 M -4.13 % 231.336 M -4.59 % 242.476 M 20.91 % 200.537 M 4.39 % 192.110 M 25.56 % 152.999 M 379.62 % 31.900 M 0.000 0.000 0.000 0.000 -100.00 % 12.626 M 39.51 % 9.050 M
Total non current liabilities 180.531 M 8.21 % 166.830 M -19.63 % 207.587 M -31.01 % 300.890 M -11.04 % 338.212 M -6.02 % 359.869 M -12.27 % 410.220 M 27.74 % 321.129 M 2.53 % 313.202 M -18.97 % 386.521 M 539.32 % 60.459 M 2 843.13 % 2.054 M 2.98 % 1.995 M 2.28 % 1.950 M -0.40 % 1.958 M -82.79 % 11.377 M 3.09 % 11.036 M
Other current liabilities 4.457 M -61.86 % 11.686 M 24.16 % 9.412 M 822.75 % 1.020 M 142.68 % -2.390 M -122.11 % 10.811 M -73.38 % 40.618 M -3.65 % 42.158 M 0.37 % 42.003 M -19.99 % 52.500 M 18.90 % 44.156 M 35.99 % 32.471 M -21.62 % 41.429 M 12.01 % 36.988 M -26.96 % 50.643 M 45.49 % 34.810 M 101.35 % 17.288 M
Deferred revenue 0.000 0.000 0.000 -100.00 % 93.000 K -57.92 % 221.000 K 106.36 % -3.474 M 50.93 % -7.079 M -287.47 % -1.827 M 46.41 % -3.409 M 31.23 % -4.957 M 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Short term debt 0.000 0.000 0.000 -100.00 % 3.275 M -49.51 % 6.486 M -33.84 % 9.803 M 38.48 % 7.079 M 287.47 % 1.827 M -46.41 % 3.409 M 0.000 0.000 -100.00 % 50.141 M 0.000 -100.00 % 84.318 K -50.87 % 171.638 K 0.000 -100.00 % 420.744 K
Total current liabilities 72.053 M -1.67 % 73.275 M -6.12 % 78.051 M 25.30 % 62.289 M 2.12 % 60.997 M 46.18 % 41.726 M -38.93 % 68.321 M 2.14 % 66.891 M -3.74 % 69.487 M 0.81 % 68.926 M 14.01 % 60.459 M -34.05 % 91.678 M 132.87 % 39.370 M -7.70 % 42.652 M 4.27 % 40.904 M 34.55 % 30.401 M 82.40 % 16.667 M
Total liabilities 252.584 M 5.20 % 240.105 M -15.94 % 285.638 M -22.08 % 366.598 M -8.17 % 399.209 M -0.59 % 401.595 M -16.08 % 478.541 M 23.33 % 388.020 M 1.39 % 382.689 M -15.98 % 455.447 M 276.66 % 120.917 M 29.00 % 93.733 M 126.60 % 41.364 M -7.26 % 44.603 M 4.06 % 42.862 M 2.59 % 41.778 M 50.80 % 27.704 M
Other non current assets 1.237 M -35.44 % 1.916 M 103.40 % 942.000 K 100.54 % -175.538 M -5 637.48 % 3.170 M -89.54 % 30.316 M 1 060.20 % 2.613 M -5.19 % 2.756 M 11.04 % 2.482 M -66.28 % 7.360 M 109.67 % -76.083 M 0.000 0.000 0.000 -100.00 % 345.031 M 0.000 0.000
Long term investments 153.489 M 2.00 % 150.481 M -14.59 % 176.191 M 0.37 % 175.538 M 3.42 % 169.738 M -1.66 % 172.606 M -4.15 % 180.088 M -6.49 % 192.587 M -5.37 % 203.522 M -5.55 % 215.472 M 2 723.82 % 7.631 M -28.69 % 10.700 M -26.93 % 14.644 M -2.50 % 15.019 M 1.50 % 14.797 M 17.36 % 12.609 M 3.76 % 12.153 M
Intangible assets 480.726 M 3.09 % 466.301 M -0.69 % 469.563 M -2.12 % 479.727 M -5.05 % 505.233 M 16.89 % 432.247 M -0.79 % 435.677 M -13.07 % 501.190 M 0.34 % 499.479 M -7.70 % 541.166 M 900.44 % 54.093 M -4.65 % 56.732 M 210.96 % 18.244 M -0.80 % 18.391 M -2.19 % 18.803 M -2.76 % 19.336 M -8.56 % 21.146 M
GoodWill 386.878 M 1.73 % 380.299 M 0.65 % 377.842 M -0.53 % 379.845 M -13.87 % 440.997 M 8.03 % 408.209 M -0.90 % 411.904 M 0.60 % 409.432 M -27.04 % 561.188 M 5.73 % 530.760 M 4 339.14 % 11.956 M -6.47 % 12.783 M -4.77 % 13.423 M -4.50 % 14.055 M -5.28 % 14.840 M -5.88 % 15.766 M -14.86 % 18.518 M
Goodwill and intangible assets 867.604 M 2.48 % 846.600 M -0.09 % 847.405 M -1.42 % 859.572 M -9.16 % 946.230 M 12.59 % 840.456 M -0.84 % 847.581 M -6.92 % 910.622 M -14.15 % 1.061 B -1.05 % 1.072 B 1 522.92 % 66.049 M -4.98 % 69.515 M 119.52 % 31.667 M -2.40 % 32.446 M -3.55 % 33.642 M -4.16 % 35.102 M -11.50 % 39.664 M
Property plant equipment net 68.452 M 3.49 % 66.146 M -0.65 % 66.577 M 22.68 % 54.269 M -6.42 % 57.992 M 12.59 % 51.508 M 1.30 % 50.845 M 58.42 % 32.095 M -0.41 % 32.228 M 2.31 % 31.501 M 1 210.98 % 2.403 M 61.64 % 1.487 M 112.13 % 700.767 K -11.04 % 787.775 K 3.91 % 758.152 K -4.88 % 797.018 K -12.93 % 915.413 K
Total non current assets 1.120 B 2.90 % 1.089 B -2.15 % 1.113 B 21.75 % 913.841 M -22.37 % 1.177 B 9.96 % 1.071 B -0.98 % 1.081 B -5.00 % 1.138 B -12.38 % 1.299 B -2.06 % 1.326 B 1 643.18 % 76.083 M -6.88 % 81.701 M 73.79 % 47.011 M -2.57 % 48.253 M -1.92 % 49.198 M 1.42 % 48.508 M -8.01 % 52.732 M
Other current assets 10.837 M -12.12 % 12.331 M 35.27 % 9.116 M 0.000 -100.00 % 53.235 M -11.43 % 60.107 M -39.69 % 99.671 M 93.81 % 51.426 M -3.25 % 53.151 M 407.51 % 10.473 M 37.01 % 7.644 M -71.61 % 26.925 M 0.000 0.000 -100.00 % 24.339 M 0.000 -100.00 % 15.247 M
Short term investments 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 -100.00 % 92.917 K -61.53 % 241.555 K 3 144.09 % 7.446 K 13.11 % 6.583 K 16.12 % 5.669 K 20.31 % 4.712 K -17.93 % 5.741 K -27.43 % 7.912 K 60.16 % 4.940 K
cash and cash equivalents 42.414 M -19.73 % 52.841 M -19.32 % 65.494 M -70.52 % 222.138 M 270.33 % 59.984 M -55.31 % 134.237 M 774.62 % 15.348 M 25.84 % 12.196 M -49.41 % 24.106 M 35.50 % 17.790 M 20 697.29 % 85.540 K -99.31 % 12.425 M -7.16 % 13.384 M -23.52 % 17.500 M 35.01 % 12.962 M 32.31 % 9.797 M 18.06 % 8.298 M
Cash and short term investments 42.414 M -19.73 % 52.841 M -19.32 % 65.494 M -70.52 % 222.138 M 270.33 % 59.984 M -55.31 % 134.237 M 774.62 % 15.348 M 25.84 % 12.196 M -49.41 % 24.106 M 35.50 % 17.790 M 238 820.23 % 7.446 K -99.94 % 12.432 M -7.15 % 13.390 M -23.51 % 17.505 M 35.05 % 12.962 M 32.20 % 9.805 M 18.09 % 8.303 M
Total current assets 122.505 M -1.28 % 124.097 M -13.35 % 143.213 M -44.04 % 255.901 M 75.76 % 145.600 M -36.54 % 229.431 M 23.72 % 185.440 M 93.73 % 95.720 M -10.41 % 106.846 M 18.86 % 89.893 M 308.78 % 21.991 M -63.61 % 60.423 M 14.32 % 52.854 M -0.44 % 53.089 M 6.24 % 49.970 M 4.84 % 47.663 M 27.58 % 37.359 M
Inventory 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 100.00 % -92.916 K 61.53 % -241.554 K -21.17 % -199.358 K -100.83 % 24.093 M 66 226.86 % -36.434 K 0.000 -100.00 % 18.034 M 0.000 0.000
Net receivables 69.254 M 17.53 % 58.925 M -14.11 % 68.603 M 103.19 % 33.763 M 4.27 % 32.381 M -7.71 % 35.087 M -50.18 % 70.421 M 119.39 % 32.098 M 8.48 % 29.589 M -8.31 % 32.269 M 65.14 % 19.540 M 0.000 -100.00 % 39.464 M 10.90 % 35.584 M 0.000 -100.00 % 37.858 M 150.75 % 15.098 M
Tax assets 29.484 M 25.11 % 23.567 M 9.59 % 21.505 M 0.000 0.000 100.00 % -24.379 M 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 100.00 % -345.031 M 0.000 0.000
Other assets 0.000 0.000 0.000 -100.00 % 236.350 M 0.000 0.000 0.000 0.000 0.000 0.000 -100.00 % 251.996 M 0.000 0.000 0.000 0.000 0.000 0.000
Account payables 32.795 M 9.41 % 29.974 M -20.14 % 37.532 M 61.84 % 23.191 M -19.87 % 28.943 M 17.72 % 24.586 M -11.25 % 27.703 M 314.03 % 6.691 M -25.51 % 8.983 M 187.36 % 3.126 M 0.000 -100.00 % 4.892 M 31.58 % 3.718 M 13.98 % 3.262 M 11.09 % 2.936 M -10.91 % 3.295 M 32.35 % 2.490 M
Tax payables 34.801 M 10.08 % 31.615 M 1.63 % 31.107 M -10.38 % 34.710 M 25.14 % 27.737 M 0.000 0.000 -100.00 % 18.042 M 19.55 % 15.092 M 13.47 % 13.300 M 114.36 % 6.204 M 48.60 % 4.175 M 60.33 % 2.604 M 12.32 % 2.318 M 59.41 % 1.454 M -46.42 % 2.714 M 7.88 % 2.516 M
Deferred revenue non current 0.000 0.000 0.000 100.00 % -3.419 M -1 647.06 % 221.000 K 360.42 % 48.000 K -27.27 % 66.000 K -79.57 % 323.000 K -29.48 % 458.000 K -72.93 % 1.692 M 444.73 % -490.814 K 97.47 % -19.409 M 25.93 % -26.203 M 0.000 0.000 0.000 0.000
Minority interest 304.785 M -0.90 % 307.548 M -1.36 % 311.793 M -6.22 % 332.475 M -13.26 % 383.304 M -1.06 % 387.405 M -13.16 % 446.094 M -3.80 % 463.735 M -15.81 % 550.850 M -6.66 % 590.169 M 13 361 208.58 % 4.417 K -13.46 % 5.104 K 136.19 % 2.161 K -61.31 % 5.586 K -58.55 % 13.476 K -96.99 % 447.630 K -71.95 % 1.596 M
Capital lease obligations 64.338 M 2.43 % 62.810 M -0.39 % 63.055 M -0.84 % 63.590 M 5.46 % 60.295 M 17.25 % 51.423 M -8.37 % 56.123 M 102.37 % 27.733 M 8.69 % 25.516 M 8.59 % 23.498 M 119.34 % 10.713 M 0.000 0.000 -100.00 % 84.318 K -50.87 % 171.638 K 0.000 -100.00 % 500.850 K
Preferred stock 333.595 M 7.83 % 309.379 M 1.88 % 303.666 M 1.67 % 298.670 M 94.65 % 153.442 M 33.32 % 115.093 M 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Other total stockholders equity 665.605 M 2.13 % 651.750 M -0.17 % 652.857 M 1.40 % 643.828 M 17.06 % 549.998 M -0.67 % 553.717 M 5.82 % 523.255 M 0.63 % 519.996 M 0.72 % 516.262 M 11.68 % 462.275 M 230.05 % -355.453 M -202.41 % 347.098 M 0.45 % 345.558 M 157.54 % 134.174 M 21.21 % 110.696 M 2.83 % 107.647 M 146.08 % 43.745 M
Deferred tax liabilities non current 14.785 M 34.69 % 10.977 M 0.00 % 10.977 M 1 867.20 % 558.000 K -95.67 % 12.897 M 65.66 % 7.785 M -44.82 % 14.109 M -45.34 % 25.812 M -13.66 % 29.895 M -26.27 % 40.545 M 1 915.20 % 2.012 M -2.06 % 2.054 M 2.98 % 1.995 M 2.28 % 1.950 M -0.40 % 1.958 M -0.77 % 1.973 M -0.27 % 1.979 M
Other liabilities 0.000 0.000 0.000 -100.00 % 3.419 M 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Total assets 1.243 B 2.47 % 1.213 B -3.43 % 1.256 B -10.69 % 1.406 B 6.30 % 1.323 B 1.75 % 1.300 B 2.63 % 1.267 B 2.66 % 1.234 B -12.23 % 1.406 B -0.73 % 1.416 B 304.53 % 350.069 M 146.31 % 142.124 M 42.32 % 99.865 M -1.46 % 101.342 M 2.19 % 99.167 M 3.12 % 96.171 M 6.75 % 90.091 M
2025-06-30 2025-03-31 2024-12-31 2024-09-30 2024-06-30 2024-03-31 2023-12-31 2023-09-30 2023-06-30 2023-03-31 2022-12-31 2022-09-30 2022-06-30 2022-03-31 2021-12-31 2021-09-30 2020-12-31
2025-06-30 2025-03-31 2024-12-31 2024-09-30 2024-06-30 2024-03-31 2023-12-31 2023-09-30 2023-06-30 2023-03-31 2022-12-31 2022-09-30 2022-06-30 2022-03-31 2021-12-31 2021-09-30 2021-06-30 2021-03-31 2020-12-31
Deferred income tax -4.799 M -148.52 % -1.931 M 44.56 % -3.483 M 71.26 % -12.120 M -260.61 % -3.361 M 27.97 % -4.666 M -224.13 % 3.759 M 138.36 % 1.577 M 108.08 % -19.511 M -725.55 % 3.119 M 376.63 % -1.128 M 55.71 % -2.546 M -322.81 % 1.143 M 52.54 % 749.092 K 875.42 % 76.797 K -91.72 % 928.038 K 275.73 % 246.993 K 113.81 % -1.788 M -48.98 % -1.200 M
Stock based compensation 2.594 M 111.09 % -23.383 M -432.14 % 7.040 M 46.12 % 4.818 M -25.75 % 6.489 M 151.61 % 2.579 M 55.46 % 1.659 M -49.25 % 3.269 M 13.98 % 2.868 M -90.09 % 28.953 M 2 467.89 % 1.128 M -89.20 % 10.443 M 1 228.28 % 786.185 K 0.000 100.00 % -1.711 M -3 727.37 % 47.170 K -25.49 % 63.306 K 4 849.14 % -1.333 K -173.04 % 1.825 K
Change in working capital 0.000 100.00 % -27.821 M -177.07 % 36.099 M 2 614.21 % 1.330 M 106.56 % -20.284 M -713.37 % 3.307 M -51.89 % 6.874 M 74.20 % 3.946 M -78.89 % 18.692 M 133.57 % -55.688 M -566.62 % 11.934 M 3 238.87 % 357.435 K 104.94 % -7.238 M -321.90 % 3.262 M -69.63 % 10.742 M 1 223.50 % -956.079 K 77.31 % -4.214 M -353.62 % 1.661 M -14.60 % 1.946 M
Accounts receivables 0.000 -100.00 % 353.000 K 226.07 % -280.000 K 71.31 % -976.000 K -119.05 % 5.124 M -85.09 % 34.361 M 189.91 % -38.218 M -2 743.60 % -1.344 M 49.68 % -2.671 M -123.96 % 11.147 M 1 472.23 % -812.330 K -193.71 % 866.834 K 57.49 % 550.411 K 0.000 0.000 0.000 0.000 0.000 0.000
Inventory 0.000 0.000 0.000 0.000 0.000 0.000 0.000 -100.00 % 396.000 K -97.63 % 16.697 M 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Accounts payables -6.309 M 24.23 % -8.326 M -143.15 % 19.297 M 529.01 % -4.498 M 58.39 % -10.810 M -107.76 % -5.203 M -340.56 % -1.181 M -124.45 % 4.830 M 4.59 % 4.618 M 117.04 % -27.102 M 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Other working capital 0.000 100.00 % -19.848 M -216.19 % 17.082 M 151.06 % 6.804 M 146.61 % -14.598 M 43.53 % -25.851 M -150.98 % 50.708 M 10 923.48 % 460.000 K 858.33 % 48.000 K 100.12 % -39.733 M -411.71 % 12.747 M 2 602.29 % -509.399 K 93.46 % -7.789 M 0.000 0.000 0.000 0.000 0.000 0.000
Other non cash items 7.680 M -54.03 % 16.707 M 15.32 % 14.488 M -86.56 % 107.816 M 1 093.97 % -10.847 M 73.55 % -41.004 M -234.89 % 30.399 M -78.90 % 144.096 M 530.29 % -33.488 M -181.21 % 41.236 M 210.76 % -37.230 M -2 768.74 % -1.298 M -94.78 % -666.275 K -961.47 % -62.769 K -119.91 % 315.330 K -37.74 % 506.466 K 14.57 % 442.043 K 438.03 % -130.770 K 84.37 % -836.570 K
Net cash provided by operating activities -19.949 M 33.88 % -30.169 M -53 773.21 % -56.000 K 98.87 % -4.940 M 83.63 % -30.184 M -95.09 % -15.472 M -2 094.61 % -705.000 K 95.14 % -14.510 M -973.04 % 1.662 M 102.44 % -68.153 M -3 028.83 % -2.178 M -145.72 % -886.466 K 75.20 % -3.575 M -164.45 % 5.547 M -33.94 % 8.397 M 155.32 % 3.289 M 535.49 % -755.170 K -121.44 % 3.522 M -8.75 % 3.859 M
Investments in property plant and equipment 0.000 0.000 100.00 % -1.941 M 0.000 100.00 % -1.064 M -406.67 % -210.000 K 41.83 % -361.000 K -2 306.67 % -15.000 K 89.80 % -147.000 K -37.38 % -107.000 K -28.07 % -83.549 K 90.52 % -881.573 K -15 656.44 % -5.595 K 96.33 % -152.556 K -63.92 % -93.065 K 60.86 % -237.769 K -779.88 % -27.023 K 52.90 % -57.371 K -249.31 % -16.424 K
Acquisitions net 0.000 0.000 -100.00 % 16.683 M 0.000 100.00 % -53.798 M -267.06 % 32.202 M 5 467.00 % -600.000 K 84.14 % -3.783 M 73.78 % -14.430 M 85.57 % -99.999 M -11 964.70 % -828.856 K -11 556.20 % 7.235 K -24.25 % 9.551 K 139.41 % -24.238 K -101.51 % 1.606 M 200.64 % -1.596 M -37 131.33 % -4.287 K -123.17 % -1.921 K -2 271.60 % -81.000
Purchases of investments 0.000 0.000 100.00 % -20.278 M -1 232.85 % 1.790 M 196.60 % -1.853 M -4 651.28 % -39.000 K 79.26 % -188.000 K -193.75 % -64.000 K -8.47 % -59.000 K 99.62 % -15.376 M 95.59 % -348.907 M -4 821 719.67 % -7.236 K 0.000 0.000 100.00 % -38.098 K 60.43 % -96.286 K 0.000 0.000 100.00 % -71.530 K
Sales maturities of investments 0.000 0.000 100.00 % -16.683 M 95.22 % -348.907 M -758 593.20 % 46.000 K -94.09 % 779.000 K 169.55 % 289.000 K 4 716.67 % 6.000 K -97.18 % 213.000 K -86.68 % 1.599 M -99.54 % 348.907 M 76 582.83 % 455.000 K 0.000 0.000 -100.00 % 102.740 K 155.88 % 40.151 K 0.000 0.000 -100.00 % 1.060 K
Other investing activites 0.000 -100.00 % 19.917 M 1 991 600.00 % 1.000 K -100.00 % 317.304 M 15 492.33 % 2.035 M 216.15 % -1.752 M -691.89 % 296.000 K 1 309.52 % 21.000 K 425.00 % 4.000 K 101.63 % -246.000 K -299.59 % 123.254 K -95.31 % 2.626 M 585.35 % -541.019 K 30.52 % -778.697 K 87.65 % -6.305 M -3 832.04 % -160.349 K 82.25 % -903.376 K 54.27 % -1.975 M -146.23 % -802.215 K
Net cash used for investing activites 0.000 -100.00 % 19.917 M 189.64 % -22.218 M 25.48 % -29.813 M 45.43 % -54.634 M -276.35 % 30.980 M 5 592.91 % -564.000 K 85.29 % -3.835 M 73.40 % -14.419 M 87.37 % -114.129 M -14 362.27 % -789.150 K -135.88 % 2.199 M 509.49 % -537.063 K 43.79 % -955.491 K 79.79 % -4.727 M -130.55 % -2.050 M -119.36 % -934.686 K 54.06 % -2.035 M -128.81 % -889.190 K
Debt repayment 0.000 0.000 100.00 % -131.200 M -261.93 % -36.250 M -80.80 % -20.050 M -1 437.58 % -1.304 M -110.98 % 11.876 M 166.22 % 4.461 M -88.05 % 37.323 M 297.60 % 9.387 M 79 039.39 % -11.891 K 98.66 % -890.000 K -293.48 % 460.000 K -95.64 % 10.560 M 6 871.13 % 151.482 K 218.87 % -127.432 K -85.57 % -68.669 K -103.47 % 1.982 M 2 283.95 % -90.731 K
Common stock issued 0.000 0.000 0.000 -100.00 % 239.324 M 646.58 % 32.056 M -71.79 % 113.637 M 0.000 0.000 -100.00 % 1.828 M 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 -100.00 % 107.909 K
Common stock repurchased 0.000 100.00 % -2.838 M -848.81 % 379.000 K 0.000 0.000 0.000 0.000 0.000 0.000 100.00 % -4.215 M 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Dividends paid 0.000 0.000 100.00 % -7.000 K 99.43 % -1.230 M 56.89 % -2.853 M -6.42 % -2.681 M 20.49 % -3.372 M -5.74 % -3.189 M -286.44 % -825.226 K 76.09 % -3.451 M -2 083.98 % -158.000 K 85.48 % -1.088 M 0.000 0.000 100.00 % -165.203 K 3.11 % -170.500 K -442.99 % -31.400 K 83.81 % -194.000 K -70.91 % -113.512 K
Other financing activites 0.000 0.000 100.00 % -1.245 M -100.91 % 137.306 M 342.47 % 31.032 M -71.29 % 108.081 M 3 312.87 % -3.364 M -5 075.38 % -65.000 K 98.53 % -4.419 M -42.59 % -3.099 M -393.39 % -628.109 K 68.10 % -1.969 M 60.25 % -4.954 M -42.56 % -3.475 M -621.12 % -481.892 K -497.72 % -80.622 K 66.44 % -240.223 K 17.45 % -291.000 K -25.82 % -231.278 K
Net cash used provided by financing activities 0.000 100.00 % -2.838 M 97.86 % -132.452 M -168.10 % 194.486 M 2 292.50 % 8.129 M -92.19 % 104.096 M 1 925.21 % 5.140 M 325.85 % 1.207 M -95.12 % 24.748 M 402.60 % 4.924 M 17.83 % 4.179 M 246.16 % -2.859 M -1 185.51 % -222.418 K -4.47 % -212.894 K 57.04 % -495.613 K -30.92 % -378.554 K -49.42 % -253.342 K -123.27 % 1.089 M 432.33 % -327.612 K
Effect of forex changes on cash 0.000 -100.00 % 436.000 K 122.74 % -1.917 M -179.18 % 2.421 M 353.77 % -954.000 K -327.80 % -223.000 K -2 127.27 % 11.000 K -99.75 % 4.347 M 266.11 % -2.617 M -348.76 % 1.052 M 107.01 % -15.001 M -2 652.54 % 587.693 K 169.72 % 217.888 K 36.43 % 159.710 K 1 851.78 % -9.117 K -109.92 % 91.951 K 302.99 % 22.817 K 121.09 % -108.190 K 13.62 % -125.250 K
Net change in cash 0.000 100.00 % -12.654 M 91.92 % -156.644 M -196.60 % 162.154 M 308.85 % -77.643 M -165.04 % 119.381 M 2 975.24 % 3.882 M 130.47 % -12.742 M -236.79 % 9.315 M 105.28 % -176.306 M -1 178.55 % -13.790 M -1 338.28 % -958.750 K 76.71 % -4.117 M -190.70 % 4.539 M 43.40 % 3.165 M 232.55 % 951.721 K 149.56 % -1.920 M -177.83 % 2.468 M -1.97 % 2.517 M
Cash at beginning of period 0.000 -100.00 % 65.495 M -70.52 % 222.138 M 270.33 % 59.984 M -56.42 % 137.627 M 654.29 % 18.246 M 49.61 % 12.196 M -55.00 % 27.105 M 52.36 % 17.790 M -90.83 % 194.096 M 1 298.88 % 13.875 M 3.67 % 13.384 M -23.52 % 17.500 M 35.01 % 12.962 M 32.31 % 9.797 M 10.76 % 8.845 M -17.84 % 10.766 M 29.74 % 8.298 M 43.54 % 5.781 M
Cash at end of period 0.000 -100.00 % 52.841 M -19.32 % 65.494 M -70.52 % 222.138 M 270.33 % 59.984 M -56.42 % 137.627 M 796.71 % 15.348 M 6.86 % 14.363 M -47.01 % 27.105 M 52.36 % 17.790 M 20 697.29 % 85.540 K -99.31 % 12.425 M -7.16 % 13.384 M -23.52 % 17.500 M 35.01 % 12.962 M 32.31 % 9.797 M 10.76 % 8.845 M -17.84 % 10.766 M 29.74 % 8.298 M
Operating cash flow -19.949 M 33.88 % -30.169 M -53 773.21 % -56.000 K 98.87 % -4.940 M 83.63 % -30.184 M -95.09 % -15.472 M -2 094.61 % -705.000 K 95.14 % -14.510 M -973.04 % 1.662 M 102.44 % -68.153 M -3 028.83 % -2.178 M -145.72 % -886.466 K 75.20 % -3.575 M -164.45 % 5.547 M -33.94 % 8.397 M 155.32 % 3.289 M 535.49 % -755.170 K -121.44 % 3.522 M -8.75 % 3.859 M
Capital expenditure 0.000 100.00 % -782.000 K 59.71 % -1.941 M 56.85 % -4.498 M -322.74 % -1.064 M -406.67 % -210.000 K 41.83 % -361.000 K -2 306.67 % -15.000 K 89.80 % -147.000 K -37.38 % -107.000 K -28.07 % -83.549 K 90.52 % -881.573 K -15 656.44 % -5.595 K 96.33 % -152.556 K -63.92 % -93.065 K 60.86 % -237.769 K -779.88 % -27.023 K 52.90 % -57.371 K -249.31 % -16.424 K
Free CashFlow -19.949 M 33.88 % -30.169 M -1 410.72 % -1.997 M 78.84 % -9.438 M 69.80 % -31.248 M -99.26 % -15.682 M -1 371.11 % -1.066 M 92.66 % -14.525 M -1 058.75 % 1.515 M 102.22 % -68.260 M -2 917.98 % -2.262 M -27.93 % -1.768 M 50.62 % -3.581 M -166.37 % 5.395 M -35.03 % 8.304 M 172.17 % 3.051 M 490.05 % -782.193 K -122.58 % 3.464 M -9.85 % 3.843 M
2025 2025 2024 2024 2024 2024 2023 2023 2023 2023 2022 2022 2022 2022 2021 2021 2021 2021 2020