ALVGO.PA

Vogo S.A. ALVGO.PA

Finances

2024 2023 2022 2021 2020 2019 2018 2017 2016
Revenue 10.603 M 10.27 % 9.616 M -19.89 % 12.003 M 40.55 % 8.540 M 53.30 % 5.570 M 211.95 % 1.786 M 38.62 % 1.288 M 30.94 % 983.836 K 29.64 % 758.902 K
Net income -1.573 M 30.77 % -2.272 M -60.18 % -1.419 M 9.81 % -1.573 M 51.77 % -3.262 M -17.61 % -2.773 M -40.28 % -1.977 M -95.96 % -1.009 M -0.68 % -1.002 M
Income before tax -1.959 M 20.02 % -2.449 M -38.05 % -1.774 M 5.90 % -1.885 M 46.41 % -3.518 M -19.68 % -2.940 M -42.30 % -2.066 M -82.11 % -1.134 M -6.40 % -1.066 M
Income before tax ratio -0.18 27.47 % -0.25 -72.32 % -0.15 33.05 % -0.22 65.04 % -0.63 61.63 % -1.65 -2.65 % -1.60 -39.08 % -1.15 17.93 % -1.40
EBITDA -8.490 M -626.58 % -1.168 M -112.85 % -548.968 K 42.02 % -946.791 K 64.84 % -2.693 M -17.62 % -2.289 M -126.24 % -1.012 M -13.27 % -893.361 K -4.93 % -851.387 K
Net income ratio -0.15 37.22 % -0.24 -99.94 % -0.12 35.83 % -0.18 68.54 % -0.59 62.30 % -1.55 -1.20 % -1.53 -49.66 % -1.03 22.33 % -1.32
Ratio EBITDA -0.80 -558.93 % -0.12 -165.69 % -0.05 58.75 % -0.11 77.06 % -0.48 62.30 % -1.28 -63.21 % -0.79 13.49 % -0.91 19.06 % -1.12
Gross profit ratio 0.16 -9.95 % 0.18 284.51 % -0.10 51.51 % -0.20 72.13 % -0.72 57.55 % -1.71 -271.25 % 1.00 13.72 % 0.88 -10.08 % 0.97
Weighted average shs out dil 6.128 M 21.00 % 5.064 M 24.98 % 4.052 M -0.18 % 4.059 M -0.26 % 4.070 M 16.11 % 3.506 M -0.40 % 3.520 M 3.66 % 3.395 M 0.00 % 3.395 M
Weighted average shs out 6.128 M 21.00 % 5.064 M 24.98 % 4.052 M -0.18 % 4.059 M -0.26 % 4.070 M 16.11 % 3.506 M 0.15 % 3.500 M 3.09 % 3.395 M 0.00 % 3.395 M
EPS diluted -0.26 42.22 % -0.45 -28.57 % -0.35 10.26 % -0.39 51.25 % -0.80 -1.27 % -0.79 -41.07 % -0.56 -86.67 % -0.30 0.00 % -0.30
Earnings per share -0.26 42.22 % -0.45 -28.57 % -0.35 10.26 % -0.39 51.25 % -0.80 -1.27 % -0.79 -41.07 % -0.56 -86.67 % -0.30 0.00 % -0.30
Gross profit 1.724 M -0.70 % 1.736 M 247.81 % -1.175 M 31.84 % -1.723 M 57.27 % -4.033 M -32.41 % -3.046 M -337.38 % 1.283 M 48.90 % 861.728 K 16.57 % 739.257 K
Income tax expense 385.971 K 195.96 % -402.231 K -13.11 % -355.610 K -13.76 % -312.588 K -21.71 % -256.824 K -54.08 % -166.686 K -86.89 % -89.189 K 29.06 % -125.730 K -30.07 % -96.661 K
Cost of revenue 8.879 M 12.68 % 7.880 M -40.20 % 13.177 M 28.40 % 10.263 M 6.87 % 9.604 M 98.76 % 4.832 M 95 199.11 % 5.070 K -95.85 % 122.108 K 521.57 % 19.645 K
General and administrative expenses 0.000 0.000 -100.00 % 3.835 M 18.56 % 3.234 M 18.99 % 2.718 M 19.58 % 2.273 M 130.27 % 987.093 K 1.58 % 971.730 K 3.32 % 940.535 K
Selling and marketing expenses 0.000 0.000 100.00 % -3.575 M -13.88 % -3.139 M -19.23 % -2.633 M -18.35 % -2.225 M 0.000 0.000 0.000
Other expenses 3.453 M -13.11 % 3.974 M 3.07 % 3.856 M 45 837.88 % -8.430 K 99.05 % -888.310 K -108.25 % -426.560 K -125.87 % 1.649 M 66.31 % 991.278 K 19.06 % 832.621 K
Operating expenses 3.453 M -13.11 % 3.974 M -13.88 % 4.614 M 5 236.91 % 86.461 K 110.76 % -803.251 K -112.31 % -378.331 K -114.35 % 2.636 M 34.27 % 1.963 M 10.71 % 1.773 M
Cost and expenses 13.834 M 16.70 % 11.854 M -12.50 % 13.548 M 30.90 % 10.349 M 17.60 % 8.800 M 97.61 % 4.453 M 68.64 % 2.641 M 26.65 % 2.085 M 16.30 % 1.793 M
Research and development expenses 0.000 0.000 -100.00 % 499.271 K 0.000 0.000 0.000 0.000 0.000 -100.00 % 375.000 K
Selling general and administrative expenses 0.000 0.000 -100.00 % 259.369 K 173.33 % 94.891 K 11.56 % 85.059 K 76.36 % 48.229 K -95.11 % 987.093 K 1.58 % 971.730 K 3.32 % 940.535 K
Interest income 571.000 K 1 003.08 % 51.764 K 557.74 % 7.870 K -22.39 % 10.141 K -37.98 % 16.351 K -23.58 % 21.396 K 347.71 % 4.779 K 9.36 % 4.370 K 101.66 % 2.167 K
Interest expense 161.474 K 43.67 % 112.395 K 7.17 % 104.878 K 2.83 % 101.989 K 3.98 % 98.087 K 93.18 % 50.774 K -92.93 % 718.149 K 1 812.00 % 37.560 K 8.91 % 34.486 K
Depreciation and amortization 2.460 M 110.53 % 1.168 M 29.03 % 905.441 K 23.35 % 734.036 K 0.90 % 727.514 K 21.33 % 599.617 K 78.73 % 335.480 K 65.72 % 202.433 K 12.25 % 180.345 K
Operating income -5.795 M -158.95 % -2.238 M -44.86 % -1.545 M 14.64 % -1.810 M 43.97 % -3.230 M -21.07 % -2.668 M -97.22 % -1.353 M -22.82 % -1.101 M -3.51 % -1.064 M
Operating income ratio -0.55 -134.84 % -0.23 -80.82 % -0.13 39.27 % -0.21 63.45 % -0.58 61.19 % -1.49 -42.28 % -1.05 6.20 % -1.12 20.15 % -1.40
Total other income expenses net 5.795 M 2 842.25 % -211.323 K 7.85 % -229.333 K -202.87 % -75.721 K 73.76 % -288.560 K -1 078.81 % -24.479 K 96.66 % -733.863 K -540.00 % -114.666 K -4 844.63 % -2.319 K
2024 2023 2022 2021 2020 2019 2018 2017 2016
2024 2023 2022 2021 2020 2019 2018 2017 2016
Net debt 5.065 M -5.66 % 5.369 M 14.15 % 4.703 M -7.81 % 5.102 M 371.64 % -1.878 M -253.46 % -531.399 K 94.70 % -10.026 M -3 214.53 % -302.492 K 80.36 % -1.540 M
Total investments 911.440 K 355.72 % 200.000 K -56.37 % 458.395 K -86.86 % 3.488 M 412.51 % 680.609 K 9.28 % 622.784 K 345.26 % 139.870 K -36.03 % 218.664 K -36.03 % 341.824 K
Total debt 7.886 M 17.16 % 6.731 M -4.97 % 7.082 M -4.93 % 7.450 M -1.03 % 7.527 M 38.15 % 5.449 M 345.01 % 1.224 M 7.31 % 1.141 M -15.25 % 1.346 M
Accumulated other comprehensive income loss -1.575 M -972.40 % 180.517 K -10.10 % 200.790 K 54.58 % 129.898 K 102.48 % -5.248 M -99.69 % -2.628 M -29.53 % -2.029 M -16 347.82 % 12.487 K -97.78 % 561.862 K
Retained earnings -1.801 M 20.72 % -2.272 M 80.39 % -11.589 M -14.04 % -10.163 M -19.43 % -8.510 M -57.55 % -5.401 M -164.59 % -2.041 M 18.42 % -2.502 M -58.65 % -1.577 M
Common stock 765.876 K 22.82 % 623.558 K 21.96 % 511.262 K 0.06 % 510.943 K 0.02 % 510.866 K 16.18 % 439.702 K 0.47 % 437.655 K -22.70 % 566.161 K 0.37 % 564.061 K
Total equity 12.298 M 34.13 % 9.168 M 41.12 % 6.497 M -17.26 % 7.853 M -16.21 % 9.372 M 22.28 % 7.664 M -33.45 % 11.517 M 586.26 % 1.678 M -34.12 % 2.547 M
Other non current liabilities 431.838 K -48.10 % 832.136 K 81.08 % 459.528 K 8.84 % 422.217 K 7.73 % 391.934 K 182.89 % -472.832 K -31.70 % -359.025 K 0.000 0.000
Long term debt 5.548 M 18.26 % 4.692 M -23.37 % 6.122 M -17.82 % 7.450 M -1.02 % 7.527 M 38.15 % 5.448 M 335.32 % 1.252 M 9.69 % 1.141 M -15.25 % 1.346 M
Total non current liabilities 5.980 M 9.58 % 5.457 M -17.09 % 6.582 M -16.39 % 7.872 M 12.40 % 7.003 M 40.76 % 4.975 M 451.69 % 901.855 K -20.96 % 1.141 M -15.25 % 1.346 M
Other current liabilities 2.012 M 9.00 % 1.846 M 0.02 % 1.845 M -24.06 % 2.430 M 3.95 % 2.338 M 41.24 % 1.655 M 239.76 % 487.170 K 3 829.11 % 12.399 K -64.25 % 34.683 K
Deferred revenue 0.000 0.000 -100.00 % 255.761 K 18.29 % 216.221 K 0.000 -100.00 % 109.194 K 0.000 0.000 0.000
Short term debt 2.337 M 14.63 % 2.039 M 112.35 % 960.264 K 363 636.36 % 264.000 0.00 % 264.000 0.00 % 264.000 -94.42 % 4.730 K 0.000 0.000
Total current liabilities 5.728 M -16.89 % 6.893 M 9.48 % 6.296 M 43.71 % 4.381 M 24.41 % 3.521 M 24.59 % 2.826 M 157.82 % 1.096 M 216.18 % 346.740 K 12.73 % 307.586 K
Total liabilities 11.709 M -5.19 % 12.350 M -4.10 % 12.878 M 5.10 % 12.253 M 7.10 % 11.440 M 41.40 % 8.091 M 304.91 % 1.998 M 34.31 % 1.488 M -10.05 % 1.654 M
Other non current assets 0.000 0.000 100.00 % -9.303 M -11.06 % -8.376 M -21.40 % -6.900 M -8.17 % -6.379 M -2 205.00 % 303.030 K 38.58 % 218.665 K -36.03 % 341.824 K
Long term investments 107.420 K -15.48 % 127.087 K 1.35 % 125.395 K -49.93 % 250.419 K -27.96 % 347.609 K 287.16 % 89.784 K 761.32 % 10.424 K -88.64 % 91.783 K -43.96 % 163.786 K
Intangible assets 3.721 M -46.58 % 6.966 M 172.20 % 2.559 M -64.88 % 7.286 M 19.74 % 6.085 M 6.69 % 5.704 M 1 116.95 % 468.694 K -25.36 % 627.936 K 10.93 % 566.059 K
GoodWill 6.631 M 219.13 % 2.078 M -62.23 % 5.501 M 190.66 % 1.893 M 52.51 % 1.241 M 0.00 % 1.241 M 0.000 0.000 0.000
Goodwill and intangible assets 10.352 M 14.47 % 9.044 M 12.20 % 8.060 M -12.19 % 9.179 M 25.29 % 7.326 M 5.49 % 6.945 M 1 381.73 % 468.694 K -25.36 % 627.936 K 10.93 % 566.059 K
Property plant equipment net 1.617 M 10.41 % 1.465 M 17.86 % 1.243 M 31.14 % 947.481 K 66.39 % 569.426 K -15.64 % 674.979 K 947.73 % 64.423 K -5.03 % 67.838 K 2.89 % 65.933 K
Total non current assets 12.077 M 13.55 % 10.635 M 12.80 % 9.428 M 11.12 % 8.484 M 21.16 % 7.002 M 8.25 % 6.469 M 673.61 % 836.147 K -8.56 % 914.439 K -6.10 % 973.816 K
Other current assets 1.012 M 12.64 % 898.187 K 129.64 % 391.123 K 15.66 % 338.166 K 71.69 % 196.967 K 93.55 % 101.768 K -74.88 % 405.187 K 26.62 % 319.990 K 85.96 % 172.074 K
Short term investments 804.020 K 302.01 % 200.000 K -39.94 % 333.000 K -89.72 % 3.238 M 872.31 % 333.000 K -37.52 % 533.000 K 311.75 % 129.446 K 2.02 % 126.881 K -28.73 % 178.038 K
cash and cash equivalents 2.820 M 107.11 % 1.362 M -42.76 % 2.379 M 1.33 % 2.348 M -75.04 % 9.405 M 57.28 % 5.980 M -46.85 % 11.251 M 679.41 % 1.443 M -50.00 % 2.887 M
Cash and short term investments 3.624 M 132.07 % 1.562 M -42.41 % 2.712 M -51.45 % 5.585 M -42.64 % 9.738 M 49.52 % 6.513 M -42.77 % 11.380 M 624.68 % 1.570 M -45.60 % 2.887 M
Total current assets 11.930 M 9.62 % 10.883 M 9.41 % 9.947 M -14.41 % 11.621 M -15.85 % 13.810 M 48.71 % 9.287 M -26.76 % 12.679 M 463.13 % 2.252 M -30.24 % 3.227 M
Inventory 5.340 M -0.58 % 5.371 M 48.32 % 3.621 M 24.62 % 2.906 M 148.83 % 1.168 M -3.89 % 1.215 M 0.000 -100.00 % 82.592 K 148.98 % -168.611 K
Net receivables 1.954 M -35.98 % 3.052 M -5.28 % 3.222 M 15.43 % 2.792 M 3.14 % 2.707 M 85.78 % 1.457 M 7.13 % 1.360 M 276.55 % 361.160 K 114.20 % 168.611 K
Tax assets 0.000 0.000 -100.00 % 9.303 M 43.48 % 6.484 M 14.58 % 5.659 M 10.14 % 5.138 M 49 387.88 % -10.424 K 88.64 % -91.783 K 43.96 % -163.786 K
Other assets 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Account payables 1.111 M -63.06 % 3.008 M 0.97 % 2.979 M 96.22 % 1.518 M 53.76 % 987.323 K 3.65 % 952.589 K 126.30 % 420.934 K 225.32 % 129.391 K 0.42 % 128.844 K
Tax payables 267.896 K 0.000 -100.00 % 255.761 K 18.29 % 216.221 K 10.37 % 195.907 K 79.41 % 109.194 K -50.61 % 221.091 K 7.88 % 204.950 K 42.27 % 144.059 K
Deferred revenue non current 0.000 0.000 0.000 0.000 0.000 0.000 -100.00 % 9.300 K 0.000 0.000
Minority interest 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Capital lease obligations 432.697 K -4.30 % 452.147 K 40 414.96 % 1.116 K -98.55 % 76.827 K -75.27 % 310.709 K -34.29 % 472.832 K 22.87 % 384.835 K 0.000 0.000
Preferred stock 0.000 0.000 0.000 0.000 -100.00 % 5.248 M 99.69 % 2.628 M 29.53 % 2.029 M 0.000 0.000
Other total stockholders equity 13.333 M 25.36 % 10.636 M -38.78 % 17.374 M 0.00 % 17.375 M 0.02 % 17.371 M 37.58 % 12.626 M -11.33 % 14.239 M 366.57 % 3.052 M 1.79 % 2.998 M
Deferred tax liabilities non current 0.000 0.000 0.000 0.000 0.000 0.000 -100.00 % 257.793 K 0.000 0.000
Other liabilities 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Total assets 24.006 M 11.56 % 21.518 M 11.06 % 19.375 M -3.63 % 20.105 M -3.40 % 20.812 M 32.10 % 15.755 M 16.57 % 13.515 M 326.89 % 3.166 M -24.64 % 4.201 M
2024 2023 2022 2021 2020 2019 2018 2017 2016
2024 2023 2022 2021 2020 2019 2018 2017 2016
Deferred income tax 0.000 -100.00 % 2.839 K 107.21 % -39.385 K 0.000 100.00 % -1.490 M 0.000 0.000 0.000 0.000
Stock based compensation 0.000 0.000 -100.00 % 155.000 K 0.000 -100.00 % 35.000 K 0.000 0.000 0.000 0.000
Change in working capital -1.628 M 32.42 % -2.409 M -1 320.97 % -169.538 K 73.36 % -636.506 K -1 040.53 % 67.675 K -80.61 % 349.063 K 260.61 % 96.798 K 136.04 % -268.598 K -455.80 % -48.326 K
Accounts receivables 0.000 0.000 0.000 0.000 0.000 0.000 100.00 % -715.965 K -271.84 % -192.549 K -109.59 % -91.871 K
Inventory 0.000 0.000 0.000 0.000 0.000 100.00 % -1.059 M 0.000 0.000 0.000
Accounts payables 0.000 0.000 0.000 0.000 0.000 0.000 -100.00 % 672.892 K 0.000 0.000
Other working capital -1.628 M 32.42 % -2.409 M -1 320.97 % -169.538 K 73.36 % -636.506 K -1 040.53 % 67.675 K -95.19 % 1.408 M 906.78 % 139.871 K 283.92 % -76.049 K -274.64 % 43.545 K
Other non cash items 265.359 K 17.27 % 226.278 K -43.68 % 401.781 K 531.00 % -93.220 K -106.23 % 1.497 M 587.66 % 217.685 K 32 341.88 % 671.000 102.93 % -22.910 K -726.81 % 3.655 K
Net cash provided by operating activities -1.789 M 45.51 % -3.284 M -1 886.85 % -165.283 K 89.46 % -1.569 M 35.30 % -2.424 M -50.90 % -1.607 M -72.19 % -933.087 K 5.86 % -991.199 K -14.43 % -866.204 K
Investments in property plant and equipment -2.122 M 6.32 % -2.265 M 1.08 % -2.289 M -63.06 % -1.404 M -50.16 % -935.004 K -101.52 % -463.976 K -166.53 % -174.078 K 35.06 % -268.056 K 24.66 % -355.803 K
Acquisitions net -328.026 K 12.16 % -373.452 K -56 683.64 % 660.000 100.06 % -1.100 M -349.18 % -245.000 K 95.87 % -5.932 M 0.000 0.000 0.000
Purchases of investments 0.000 0.000 0.000 0.000 0.000 0.000 100.00 % -118.417 K 0.000 0.000
Sales maturities of investments 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Other investing activites 500.000 -99.93 % 670.455 K 570.46 % 100.000 K 0.00 % 100.000 K 0.000 100.00 % -89.561 K -12 470.30 % 724.000 -99.42 % 125.000 K 153.01 % -235.800 K
Net cash used for investing activites -2.449 M -24.47 % -1.968 M 10.10 % -2.189 M 8.97 % -2.404 M -103.77 % -1.180 M 81.81 % -6.485 M -2 117.27 % -292.495 K -104.46 % -143.056 K 59.79 % -355.803 K
Debt repayment -2.158 M -23.84 % -1.742 M -31.54 % -1.325 M -866.92 % -136.988 K -106.56 % 2.088 M -35.69 % 3.247 M 1 699.91 % -202.956 K 14.73 % -238.016 K -126.71 % 891.018 K
Common stock issued 3.978 M -19.38 % 4.935 M 0.000 0.000 -100.00 % 4.816 M 4 321.26 % 108.927 K -29.53 % 154.574 K 176.59 % 55.885 K 0.000
Common stock repurchased -97.619 K 0.000 0.000 100.00 % -116.827 K -65.70 % -70.506 K 47.87 % -135.247 K 0.000 0.000 0.000
Dividends paid 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Other financing activites 4.550 M 142.81 % 1.874 M 0.000 0.000 0.000 100.00 % -2.549 K -100.02 % 11.084 M 19 732.91 % 55.885 K 0.000
Net cash used provided by financing activities 6.273 M 23.81 % 5.067 M 482.51 % -1.325 M -421.86 % -253.815 K -103.71 % 6.834 M 112.34 % 3.218 M -70.84 % 11.035 M 6 158.96 % -182.131 K -120.44 % 891.018 K
Effect of forex changes on cash 24.071 K 578.45 % -5.031 K -3 493.57 % -140.000 99.83 % -80.732 K -2 071.38 % -3.718 K -325.61 % 1.648 K 971.96 % -189.000 0.000 0.000
Net change in cash 2.059 M 1 182.46 % -190.176 K 94.83 % -3.679 M 14.60 % -4.308 M -233.56 % 3.225 M 159.73 % -5.400 M -155.05 % 9.810 M 845.20 % -1.316 M -297.71 % -330.989 K
Cash at beginning of period 1.562 M -10.85 % 1.752 M -25.37 % 2.348 M -75.04 % 9.405 M 57.28 % 5.980 M -47.45 % 11.380 M 624.68 % 1.570 M -45.60 % 2.887 M -10.29 % 3.218 M
Cash at end of period 3.620 M 131.81 % 1.562 M -34.35 % 2.379 M 1.33 % 2.348 M -75.04 % 9.405 M 57.28 % 5.980 M -47.45 % 11.380 M 624.68 % 1.570 M -45.60 % 2.887 M
Operating cash flow -1.789 M 45.51 % -3.284 M -1 886.85 % -165.283 K 89.46 % -1.569 M 35.30 % -2.424 M -50.90 % -1.607 M -72.19 % -933.087 K 5.86 % -991.199 K -14.43 % -866.204 K
Capital expenditure -2.122 M 6.32 % -2.265 M 1.08 % -2.289 M -63.06 % -1.404 M -50.16 % -935.004 K -101.52 % -463.976 K -166.53 % -174.078 K 35.06 % -268.056 K 24.66 % -355.803 K
Free CashFlow -3.911 M 29.51 % -5.549 M -126.05 % -2.455 M 17.42 % -2.973 M 11.51 % -3.359 M -62.24 % -2.071 M -87.03 % -1.107 M 12.08 % -1.259 M -3.05 % -1.222 M
2024 2023 2022 2021 2020 2019 2018 2017 2016
2025-06-30 2024-12-31 2024-06-30 2023-12-31 2023-06-30 2022-12-31 2022-06-30 2021-12-31 2021-06-30 2020-12-31 2020-06-30 2019-12-31 2019-06-30 2018-12-31 2018-06-30 2017-12-31 2017-06-30 2017-01-31 2016-06-30 2016-01-31
Revenue 5.663 M 14.33 % 4.953 M -27.27 % 6.811 M 32.81 % 5.128 M 14.26 % 4.488 M -26.80 % 6.131 M 4.43 % 5.871 M 37.23 % 4.279 M 0.41 % 4.261 M 28.72 % 3.310 M 46.47 % 2.260 M 111.15 % 1.070 M 49.58 % 715.612 K 93.88 % 369.100 K 2.23 % 361.044 K 93.47 % 186.614 K -49.50 % 369.536 K 100.00 % 184.768 K -2.94 % 190.356 K 100.00 % 95.178 K
Net income -1.971 M -44.42 % -1.365 M -212.44 % -436.815 K 31.75 % -640.000 K 58.56 % -1.544 M -108.79 % -739.619 K -8.93 % -678.963 K 11.53 % -767.447 K 4.72 % -805.463 K 46.57 % -1.508 M 14.05 % -1.754 M 3.07 % -1.810 M -87.83 % -963.421 K 24.96 % -1.284 M -60.10 % -801.945 K -57.14 % -510.338 K -1.30 % -503.813 K -100.00 % -251.906 K 48.16 % -485.939 K -100.00 % -242.970 K
Income before tax 0.000 100.00 % -1.546 M -274.40 % -412.898 K 59.81 % -1.027 M 27.73 % -1.422 M -83.00 % -776.885 K 0.71 % -782.405 K 17.22 % -945.133 K -12.83 % -837.680 K 50.33 % -1.687 M 7.93 % -1.832 M 5.62 % -1.941 M -94.34 % -998.775 K 25.82 % -1.346 M -62.46 % -828.736 K -55.59 % -532.635 K 6.01 % -566.678 K -100.00 % -283.339 K 46.97 % -534.270 K -100.00 % -267.135 K
Income before tax ratio 0.00 100.00 % -0.31 -414.80 % -0.06 69.74 % -0.20 36.75 % -0.32 -150.02 % -0.13 4.92 % -0.13 39.68 % -0.22 -12.37 % -0.20 61.41 % -0.51 37.14 % -0.81 55.30 % -1.81 -29.92 % -1.40 61.74 % -3.65 -58.91 % -2.30 19.58 % -2.85 -86.13 % -1.53 0.00 % -1.53 45.36 % -2.81 0.00 % -2.81
EBITDA -1.497 M 87.01 % -11.526 M -3 986.98 % 296.531 K 222.86 % -241.353 K 73.97 % -927.129 K -540.25 % -144.808 K 62.15 % -382.609 K 33.58 % -576.057 K -19.42 % -482.389 K 51.95 % -1.004 M 33.00 % -1.498 M -26.57 % -1.184 M -38.01 % -857.780 K -195.54 % -290.242 K 47.14 % -549.047 K -446.87 % -100.399 K 77.52 % -446.682 K -100.00 % -223.341 K 49.45 % -441.854 K -100.00 % -220.927 K
Net income ratio -0.35 -26.32 % -0.28 -329.60 % -0.06 48.61 % -0.12 63.73 % -0.34 -185.25 % -0.12 -4.31 % -0.12 35.53 % -0.18 5.11 % -0.19 58.49 % -0.46 41.32 % -0.78 54.10 % -1.69 -25.57 % -1.35 61.30 % -3.48 -56.61 % -2.22 18.78 % -2.73 -100.59 % -1.36 0.00 % -1.36 46.59 % -2.55 0.00 % -2.55
Ratio EBITDA -0.26 88.64 % -2.33 -5 444.49 % 0.04 192.51 % -0.05 77.22 % -0.21 -774.71 % -0.02 63.76 % -0.07 51.60 % -0.13 -18.93 % -0.11 62.67 % -0.30 54.25 % -0.66 40.06 % -1.11 7.73 % -1.20 -52.43 % -0.79 48.29 % -1.52 -182.66 % -0.54 55.49 % -1.21 0.00 % -1.21 47.93 % -2.32 0.00 % -2.32
Gross profit ratio -0.13 27.78 % -0.18 -170.34 % 0.25 -9.25 % 0.28 147.60 % -0.58 -165.18 % -0.22 24.22 % -0.29 9.55 % -0.32 4.85 % -0.34 22.30 % -0.43 62.38 % -1.15 18.07 % -1.40 -2.77 % -1.37 -8.85 % -1.26 15.09 % -1.48 -248.85 % 0.99 18.98 % 0.83 0.00 % 0.83 -11.98 % 0.95 0.00 % 0.95
Weighted average shs out dil 5.604 M 0.00 % 5.604 M 10.32 % 5.079 M 0.55 % 5.052 M 0.00 % 5.052 M 22.42 % 4.126 M -0.09 % 4.130 M -0.09 % 4.134 M -0.18 % 4.142 M -0.08 % 4.145 M 15.83 % 3.578 M 1.23 % 3.535 M 1.55 % 3.481 M -0.94 % 3.514 M 1.72 % 3.454 M -1.85 % 3.520 M 3.66 % 3.395 M 0.00 % 3.395 M 0.00 % 3.395 M 0.00 % 3.395 M
Weighted average shs out 5.604 M 0.00 % 5.604 M 10.32 % 5.079 M 0.55 % 5.052 M 0.00 % 5.052 M 22.42 % 4.126 M -0.09 % 4.130 M -0.09 % 4.134 M -0.18 % 4.142 M -0.08 % 4.145 M 15.83 % 3.578 M 1.23 % 3.535 M 1.55 % 3.481 M -0.94 % 3.514 M 1.72 % 3.454 M -1.85 % 3.520 M 3.66 % 3.395 M 0.00 % 3.395 M 0.00 % 3.395 M 0.00 % 3.395 M
EPS diluted -0.35 -45.83 % -0.24 -179.07 % -0.09 38.57 % -0.14 54.84 % -0.31 -72.22 % -0.18 -12.50 % -0.16 15.79 % -0.19 0.00 % -0.19 47.22 % -0.36 26.53 % -0.49 3.92 % -0.51 -82.14 % -0.28 24.32 % -0.37 -60.87 % -0.23 -64.29 % -0.14 6.67 % -0.15 -102.16 % -0.07 47.00 % -0.14 -95.53 % -0.07
Earnings per share -0.35 -45.83 % -0.24 -179.07 % -0.09 38.57 % -0.14 54.84 % -0.31 -72.22 % -0.18 -12.50 % -0.16 15.79 % -0.19 0.00 % -0.19 47.22 % -0.36 26.53 % -0.49 3.92 % -0.51 -82.14 % -0.28 24.32 % -0.37 -60.87 % -0.23 -64.29 % -0.14 6.67 % -0.15 -102.16 % -0.07 47.00 % -0.14 -95.53 % -0.07
Gross profit -723.000 K 17.43 % -875.600 K -151.16 % 1.712 M 20.53 % 1.420 M 154.39 % -2.611 M -94.10 % -1.345 M 20.86 % -1.700 M -24.13 % -1.369 M 4.46 % -1.433 M -0.02 % -1.433 M 44.89 % -2.600 M -72.99 % -1.503 M -53.72 % -977.807 K -111.04 % -463.331 K 13.19 % -533.749 K -387.97 % 185.346 K -39.92 % 308.482 K 100.00 % 154.241 K -14.56 % 180.532 K 100.00 % 90.266 K
Income tax expense 0.000 -100.00 % 181.281 K 188.56 % -204.690 K -152.82 % 387.557 K 2 741.11 % -14.674 K 91.62 % -175.050 K 3.05 % -180.560 K 12.34 % -205.986 K -93.23 % -106.602 K 40.43 % -178.947 K -129.78 % -77.877 K 40.84 % -131.645 K -272.35 % -35.355 K -156.66 % 62.398 K 132.91 % 26.791 K 220.15 % -22.297 K 64.53 % -62.865 K -100.00 % -31.433 K 34.96 % -48.331 K -100.00 % -24.165 K
Cost of revenue 6.386 M 9.56 % 5.829 M 14.31 % 5.099 M 37.51 % 3.708 M -47.76 % 7.099 M -5.05 % 7.476 M -1.25 % 7.571 M 34.05 % 5.648 M -0.82 % 5.694 M 20.05 % 4.743 M -2.41 % 4.860 M 88.86 % 2.573 M 51.97 % 1.693 M 103.43 % 832.431 K -6.97 % 894.793 K 70 495.11 % 1.268 K -97.92 % 61.054 K 100.00 % 30.527 K 210.79 % 9.823 K 100.00 % 4.911 K
General and administrative 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 -100.00 % 568.240 K 0.000 -100.00 % 246.773 K -49.21 % 485.864 K 100.00 % 242.932 K -48.34 % 470.266 K 100.00 % 235.133 K
Selling and marketing 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 0.000 100.00 % -552.434 K 0.000 100.00 % -147.571 K 68.65 % -470.725 K -100.00 % -235.363 K 48.85 % -460.117 K -100.00 % -230.059 K
Other expenses 0.000 100.00 % -11.792 M -1 596.36 % 788.051 K 28.61 % 612.739 K -52.79 % 1.298 M 35.00 % 961.500 K -11.55 % 1.087 M 131.37 % 469.830 K -26.01 % 635.010 K 682.13 % 81.190 K -89.94 % 807.120 K -63.80 % 2.230 M 139 450.00 % -1.600 K 0.000 -100.00 % 182.071 K 0.000 0.000 0.000 0.000 0.000
Operating expenses 2.452 M -3.51 % 2.541 M 23.00 % 2.066 M -48.41 % 4.005 M 430.93 % -1.210 M -52.26 % -794.833 K 20.07 % -994.358 K -135.27 % -422.650 K 28.03 % -587.299 K -2 178.21 % -25.779 K 96.68 % -777.472 K -475.58 % 207.008 K 479.12 % 35.745 K -95.82 % 854.381 K 369.26 % 182.071 K 83.54 % 99.202 K 555.23 % 15.140 K 100.00 % 7.570 K -25.42 % 10.151 K 100.00 % 5.075 K
Cost and expenses 8.838 M 15.96 % 7.622 M 6.38 % 7.165 M -7.10 % 7.713 M 30.99 % 5.888 M -11.87 % 6.682 M 1.60 % 6.577 M 25.87 % 5.225 M 2.31 % 5.107 M 8.25 % 4.718 M 15.55 % 4.083 M 1 872.29 % 207.008 K -88.03 % 1.729 M 2.51 % 1.687 M 56.64 % 1.077 M 105.21 % 524.761 K -42.97 % 920.176 K 100.00 % 460.088 K -34.95 % 707.306 K 100.00 % 353.653 K
Research and development expenses 0.000 0.000 0.000 0.000 0.000 -100.00 % 499.271 K 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 2.452 M -82.89 % 14.333 M 1 021.53 % 1.278 M -62.33 % 3.392 M 3 762.74 % 87.820 K -47.31 % 166.667 K 79.79 % 92.702 K 96.49 % 47.180 K -1.11 % 47.711 K -13.90 % 55.411 K 86.90 % 29.648 K -98.78 % 2.437 M 7 036.06 % 34.145 K 116.03 % 15.806 K 0.000 -100.00 % 99.202 K 555.23 % 15.140 K 100.00 % 7.570 K -25.42 % 10.151 K 100.00 % 5.075 K
Interest income 0.000 0.000 0.000 0.000 -100.00 % 49.238 K -0.11 % 49.293 K -11.32 % 55.585 K 6.19 % 52.343 K 5.43 % 49.646 K -2.21 % 50.766 K 7.28 % 47.321 K -5.94 % 50.312 K 63.89 % 30.699 K 7.25 % 28.625 K 0.000 0.000 0.000 0.000 0.000 0.000
Interest expense 623.000 K 553.31 % 95.361 K -2.61 % 97.921 K 55.04 % 63.157 K 28.27 % 49.238 K -0.11 % 49.293 K -11.32 % 55.585 K 6.19 % 52.343 K 5.43 % 49.646 K -73.95 % 190.601 K 240.06 % 56.049 K 0.000 -100.00 % 31.161 K 193.47 % 10.618 K 0.000 -100.00 % 179.537 K 856.00 % 18.780 K 100.00 % 9.390 K -45.54 % 17.243 K 100.00 % 8.622 K
Depreciation and amortization 1.678 M 654.47 % 222.408 K -63.63 % 611.505 K -12.01 % 694.995 K 46.83 % 473.326 K -18.78 % 582.786 K 80.62 % 322.655 K -12.92 % 370.535 K 1.94 % 363.501 K -9.84 % 403.186 K 24.31 % 324.328 K -56.07 % 738.351 K 572.22 % 109.838 K -71.88 % 390.617 K 134.22 % 166.774 K -34.00 % 252.699 K 149.66 % 101.216 K 100.00 % 50.608 K -43.88 % 90.172 K 100.00 % 45.086 K
Operating income -3.175 M 60.52 % -8.042 M -2 168.71 % -354.485 K 57.67 % -837.420 K 40.20 % -1.400 M -154.53 % -550.200 K 21.99 % -705.260 K 25.49 % -946.590 K -11.90 % -845.890 K 39.89 % -1.407 M 22.80 % -1.823 M -311.11 % 863.380 K 185.18 % -1.014 M -48.86 % -680.859 K 4.88 % -715.820 K -102.73 % -353.099 K 35.55 % -547.898 K -100.00 % -273.949 K 48.51 % -532.027 K -100.00 % -266.013 K
Operating income ratio -0.56 65.47 % -1.62 -3 019.42 % -0.05 68.13 % -0.16 47.67 % -0.31 -247.75 % -0.09 25.30 % -0.12 45.71 % -0.22 -11.45 % -0.20 53.30 % -0.43 47.29 % -0.81 -199.98 % 0.81 156.95 % -1.42 23.22 % -1.84 6.96 % -1.98 -4.78 % -1.89 -27.62 % -1.48 0.00 % -1.48 46.95 % -2.79 0.00 % -2.79
Total other income expenses net 3.175 M 182.85 % 1.123 M 491.09 % -287.020 K 0.000 100.00 % -21.265 K 90.62 % -226.690 K -193.86 % -77.141 K -5 387.25 % 1.459 K -82.23 % 8.210 K 102.94 % -279.385 K -2 945.07 % -9.175 K 99.67 % -2.804 M -19 080.51 % 14.775 K 102.22 % -665.478 K -489.36 % -112.916 K 37.11 % -179.537 K -856.03 % -18.780 K -100.00 % -9.390 K -318.62 % -2.243 K -100.00 % -1.122 K
2025-06-30 2024-12-31 2024-06-30 2023-12-31 2023-06-30 2022-12-31 2022-06-30 2021-12-31 2021-06-30 2020-12-31 2020-06-30 2019-12-31 2019-06-30 2018-12-31 2018-06-30 2017-12-31 2017-06-30 2017-01-31 2016-06-30 2016-01-31
2024-12-31 2024-06-30 2023-12-31 2023-06-30 2022-12-31 2022-06-30 2021-12-31 2021-06-30 2020-12-31 2020-06-30 2019-12-31 2019-06-30 2018-12-31 2018-06-30 2017-12-31 2016-12-31
Net debt 5.065 M -0.42 % 5.087 M -5.25 % 5.369 M 8.80 % 4.935 M 4.92 % 4.703 M -16.49 % 5.633 M 10.40 % 5.102 M 271.38 % 1.374 M 173.14 % -1.878 M -228.28 % 1.464 M 14.84 % 1.275 M 113.38 % -9.528 M 8.24 % -10.384 M -12 113.25 % -85.021 K 71.89 % -302.492 K 80.36 % -1.540 M
Total investments 911.440 K 355.72 % 200.000 K 0.00 % 200.000 K -90.59 % 2.125 M 363.66 % 458.395 K -66.95 % 1.387 M -60.24 % 3.488 M 33.58 % 2.611 M 283.66 % 680.609 K 7.35 % 633.990 K 18.95 % 533.000 K 1 416.62 % 35.144 K -74.87 % 139.870 K -30.69 % 201.792 K -7.72 % 218.664 K -36.03 % 341.824 K
Total debt 7.886 M 18.90 % 6.632 M -1.47 % 6.731 M 9.13 % 6.168 M -12.91 % 7.082 M 2.47 % 6.912 M -7.22 % 7.450 M 6.94 % 6.966 M -7.45 % 7.527 M -3.39 % 7.791 M 0.04 % 7.788 M 989.77 % 714.646 K -17.55 % 866.745 K -14.57 % 1.015 M -11.08 % 1.141 M -15.25 % 1.346 M
Accumulated other comprehensive income loss -1.575 M 27.30 % -2.166 M 80.94 % -11.363 M -7 234.86 % 159.255 K -20.69 % 200.790 K 64.21 % 122.276 K -5.87 % 129.898 K 101.48 % -8.759 M -66.89 % -5.248 M 4.45 % -5.492 M -108.99 % -2.628 M -120.28 % 12.957 M 15 110.59 % -86.317 K 0.000 0.000 -100.00 % 561.862 K
Retained earnings -1.801 M -312.40 % -436.815 K 80.78 % -2.272 M 82.65 % -13.097 M -13.01 % -11.589 M -6.82 % -10.850 M -6.76 % -10.163 M -6.26 % -9.564 M -12.39 % -8.510 M -17.43 % -7.246 M -161.31 % -2.773 M 7.71 % -3.005 M -47.20 % -2.041 M -154.55 % -801.945 K 67.95 % -2.502 M -58.65 % -1.577 M
Common stock 765.876 K 0.08 % 765.251 K 22.72 % 623.558 K 0.00 % 623.558 K 21.96 % 511.262 K 0.00 % 511.262 K 0.06 % 510.943 K 0.02 % 510.866 K 0.00 % 510.866 K 16.02 % 440.339 K 0.14 % 439.702 K 0.47 % 437.655 K 0.00 % 437.655 K 54.60 % 283.081 K -50.00 % 566.161 K 0.37 % 564.061 K
Total equity 12.298 M -5.92 % 13.071 M 42.57 % 9.168 M -7.07 % 9.866 M 51.85 % 6.497 M -9.23 % 7.158 M -8.85 % 7.853 M -5.63 % 8.322 M -11.21 % 9.372 M 60.12 % 5.853 M -23.63 % 7.664 M -23.09 % 9.964 M -13.48 % 11.517 M 1 131.14 % 935.479 K -44.26 % 1.678 M -34.12 % 2.547 M
Other non current liabilities 431.838 K -10.71 % 483.631 K -41.88 % 832.136 K 36.06 % 611.607 K 33.09 % 459.528 K -4.25 % 479.916 K -3.62 % 497.928 K -8.34 % 543.224 K 203.76 % -523.550 K -139.22 % 1.335 M 382.34 % -472.832 K -288.88 % -121.588 K 66.13 % -359.025 K -2 268.81 % 16.554 K 0.000 0.000
Long term debt 5.548 M 20.29 % 4.613 M 920.16 % 452.147 K -89.11 % 4.153 M -3.09 % 4.285 M -15.50 % 5.071 M -31.24 % 7.374 M 5.67 % 6.978 M -7.29 % 7.527 M 10.71 % 6.799 M 24.79 % 5.448 M 1 015.56 % 488.394 K -60.98 % 1.252 M 23.36 % 1.015 M -11.08 % 1.141 M -15.25 % 1.346 M
Total non current liabilities 5.980 M 17.35 % 5.096 M 296.82 % 1.284 M -73.03 % 4.762 M -4.59 % 4.992 M -10.07 % 5.551 M -18.61 % 6.820 M 4.62 % 6.519 M -6.92 % 7.003 M -13.90 % 8.134 M 63.48 % 4.975 M 1 213.62 % 378.761 K -58.00 % 901.855 K -12.54 % 1.031 M -9.63 % 1.141 M -15.25 % 1.346 M
Other current liabilities 2.012 M -14.38 % 2.350 M 55.81 % 1.508 M -57.32 % 3.534 M -24.01 % 4.650 M 117.46 % 2.138 M -9.18 % 2.354 M -30.30 % 3.378 M 227.75 % 1.031 M 50.45 % 685.070 K -12.15 % 779.847 K 2 898.72 % 26.006 K -79.90 % 129.399 K 147.02 % -275.215 K -2 319.65 % 12.399 K -64.25 % 34.683 K
Deferred revenue 0.000 0.000 -100.00 % 337.732 K 48.20 % 227.887 K -10.90 % 255.761 K -11.51 % 289.025 K 33.67 % 216.221 K -56.56 % 497.761 K 154.08 % 195.907 K 691.22 % -33.136 K -1 419.30 % -2.181 K 0.000 100.00 % -63.331 K 0.000 0.000 0.000
Short term debt 2.337 M 15.74 % 2.019 M -0.96 % 2.039 M 1 865.01 % 103.770 K 6 215.89 % 1.643 K -99.91 % 1.846 M 226.97 % -1.454 M -12 068.16 % 12.150 K 100.87 % -1.397 M -529 235.98 % 264.000 0.00 % 264.000 -99.93 % 354.915 K 7 403.49 % 4.730 K -98.41 % 297.944 K 0.000 0.000
Total current liabilities 5.728 M -13.93 % 6.656 M -3.44 % 6.893 M 11.19 % 6.199 M -21.40 % 7.886 M 34.24 % 5.875 M 8.14 % 5.433 M 4.72 % 5.188 M 16.93 % 4.437 M 31.52 % 3.373 M 83.97 % 1.834 M 63.83 % 1.119 M 2.10 % 1.096 M 157.57 % 425.636 K 22.75 % 346.740 K 12.73 % 307.586 K
Total liabilities 11.709 M -0.37 % 11.752 M -4.84 % 12.350 M 12.67 % 10.961 M -14.88 % 12.878 M 12.71 % 11.425 M -6.75 % 12.253 M 4.66 % 11.707 M 2.33 % 11.440 M -0.58 % 11.507 M 42.22 % 8.091 M 440.09 % 1.498 M -25.03 % 1.998 M 37.16 % 1.457 M -2.08 % 1.488 M -10.05 % 1.654 M
Other non current assets 0.000 -100.00 % 107.984 K -57.52 % 254.175 K 102.62 % -9.703 M -4.31 % -9.303 M -10.22 % -8.440 M -0.76 % -8.376 M -19.65 % -7.001 M -1.46 % -6.900 M -5.33 % -6.550 M -592.51 % 1.330 M 1 333.14 % 92.805 K 0.000 -100.00 % 201.792 K 0.000 -100.00 % 341.824 K
Long term investments 107.420 K 0.000 0.000 -100.00 % 125.380 K -0.01 % 125.395 K -30.35 % 180.039 K -28.10 % 250.419 K -10.00 % 278.247 K -19.95 % 347.609 K 244.20 % 100.990 K 0.000 -100.00 % 35.144 K 237.15 % 10.424 K 0.000 -100.00 % 91.783 K -43.96 % 163.786 K
Intangible assets 3.721 M 1.57 % 3.664 M 10.22 % 3.324 M -48.74 % 6.485 M 153.42 % 2.559 M 33.74 % 1.913 M -73.74 % 7.286 M 16.49 % 6.255 M 2.79 % 6.085 M 3.75 % 5.865 M 31.42 % 4.463 M 901.88 % 445.442 K -4.96 % 468.694 K -18.86 % 577.623 K -8.01 % 627.936 K 10.93 % 566.059 K
GoodWill 6.631 M 0.30 % 6.611 M -47.89 % 12.686 M 508.23 % 2.086 M 142.99 % 858.363 K -54.32 % 1.879 M -0.72 % 1.893 M 52.51 % 1.241 M 0.00 % 1.241 M 0.00 % 1.241 M 0.00 % 1.241 M 0.000 0.000 0.000 0.000 0.000
Goodwill and intangible assets 10.352 M 0.75 % 10.275 M 13.62 % 9.044 M 5.52 % 8.571 M 6.34 % 8.060 M 8.41 % 7.435 M -19.00 % 9.179 M 22.45 % 7.496 M 2.32 % 7.326 M 3.10 % 7.106 M 24.59 % 5.704 M 1 180.48 % 445.442 K -4.96 % 468.694 K -18.86 % 577.623 K -8.01 % 627.936 K 10.93 % 566.059 K
Property plant equipment net 1.617 M -3.79 % 1.681 M 14.76 % 1.465 M 29.33 % 1.132 M -8.87 % 1.243 M 32.20 % 939.922 K -0.80 % 947.481 K 64.82 % 574.846 K 0.95 % 569.426 K -16.90 % 685.253 K 1.52 % 674.979 K 612.07 % 94.791 K 47.14 % 64.423 K -9.51 % 71.190 K 4.94 % 67.838 K 2.89 % 65.933 K
Total non current assets 12.077 M 0.11 % 12.064 M 13.43 % 10.635 M 8.21 % 9.829 M 4.25 % 9.428 M 10.20 % 8.555 M 0.83 % 8.484 M 19.36 % 7.108 M 1.51 % 7.002 M 5.28 % 6.651 M 2.84 % 6.468 M 868.00 % 668.184 K -20.09 % 836.147 K -1.70 % 850.605 K -6.98 % 914.439 K -6.10 % 973.816 K
Other current assets 1.012 M -64.69 % 2.865 M 206.23 % 935.613 K -32.52 % 1.387 M -13.74 % 1.607 M -1.13 % 1.626 M 48.65 % 1.094 M -4.90 % 1.150 M 19.54 % 962.120 K -15.41 % 1.137 M 94.39 % 585.142 K 74.11 % 336.074 K -17.06 % 405.187 K 1 036.92 % 35.639 K -5.37 % 37.660 K -78.11 % 172.074 K
Short term investments 804.020 K 302.01 % 200.000 K 0.00 % 200.000 K -90.00 % 2.000 M 500.60 % 333.000 K -72.41 % 1.207 M -62.72 % 3.238 M 38.78 % 2.333 M 600.60 % 333.000 K -37.52 % 533.000 K 0.00 % 533.000 K 0.000 -100.00 % 129.446 K 0.000 -100.00 % 126.881 K -28.73 % 178.038 K
cash and cash equivalents 2.820 M 82.53 % 1.545 M 13.47 % 1.362 M 10.44 % 1.233 M -48.17 % 2.379 M 85.96 % 1.279 M -45.51 % 2.348 M -58.02 % 5.592 M -40.54 % 9.405 M 48.65 % 6.327 M -2.86 % 6.513 M -36.41 % 10.242 M -8.96 % 11.251 M 923.15 % 1.100 M -23.82 % 1.443 M -50.00 % 2.887 M
Cash and short term investments 3.624 M 107.68 % 1.745 M 11.74 % 1.562 M -51.69 % 3.233 M 19.21 % 2.712 M 9.08 % 2.486 M -55.49 % 5.585 M -29.52 % 7.925 M -18.62 % 9.738 M 41.96 % 6.860 M 5.33 % 6.513 M -36.41 % 10.242 M -10.00 % 11.380 M 934.93 % 1.100 M -29.98 % 1.570 M -45.60 % 2.887 M
Total current assets 11.930 M -6.50 % 12.759 M 17.24 % 10.883 M -1.05 % 10.998 M 10.57 % 9.947 M -0.81 % 10.028 M -13.71 % 11.621 M -10.05 % 12.920 M -6.44 % 13.810 M 28.95 % 10.709 M 15.31 % 9.287 M -18.13 % 11.343 M -10.53 % 12.679 M 722.44 % 1.542 M -31.53 % 2.252 M -30.24 % 3.227 M
Inventory 5.340 M -13.20 % 6.151 M 15.34 % 5.333 M 8.09 % 4.934 M 25.90 % 3.919 M 10.42 % 3.549 M 18.23 % 3.002 M 49.41 % 2.009 M 71.16 % 1.174 M -27.60 % 1.621 M 34.43 % 1.206 M 0.000 0.000 0.000 0.000 100.00 % -168.611 K
Net receivables 1.954 M -2.17 % 1.997 M -34.56 % 3.052 M 21.32 % 2.516 M -21.93 % 3.222 M -13.62 % 3.731 M 33.63 % 2.792 M -1.08 % 2.822 M 4.26 % 2.707 M 21.50 % 2.228 M 126.75 % 982.445 K 28.43 % 764.951 K -14.52 % 894.857 K 120.19 % 406.404 K -36.84 % 643.490 K 281.64 % 168.611 K
Tax assets 0.000 0.000 100.00 % -127.087 K -101.31 % 9.703 M 4.31 % 9.303 M 10.22 % 8.440 M 30.18 % 6.484 M 12.57 % 5.760 M 1.78 % 5.659 M 6.58 % 5.309 M 0.000 -100.00 % 1.000 -100.00 % 292.607 K 0.000 -100.00 % 126.881 K 177.47 % -163.786 K
Other assets 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
Account payables 1.111 M -51.40 % 2.286 M -23.98 % 3.008 M 39.36 % 2.158 M -27.55 % 2.979 M 69.71 % 1.755 M 15.62 % 1.518 M 0.75 % 1.507 M 52.61 % 987.323 K -39.62 % 1.635 M 71.66 % 952.589 K 122.84 % 427.483 K -45.08 % 778.442 K 313.01 % 188.481 K 45.67 % 129.391 K 0.42 % 128.844 K
Tax payables 267.896 K 0.000 0.000 -100.00 % 401.190 K 56.86 % 255.761 K -11.51 % 289.025 K 33.67 % 216.221 K -25.71 % 291.054 K 48.57 % 195.907 K -81.39 % 1.053 M 73.60 % 606.494 K 95.07 % 310.905 K 40.62 % 221.091 K 3.11 % 214.426 K 4.62 % 204.950 K 42.27 % 144.059 K
Deferred revenue non current 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 -100.00 % 11.955 K 28.55 % 9.300 K 0.000 0.000 0.000
Minority interest 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
Capital lease obligations 432.697 K -13.91 % 502.590 K 11.16 % 452.147 K 0.000 -100.00 % 1.115 K -93.15 % 16.280 K -78.81 % 76.826 K -60.84 % 196.202 K 108.93 % -2.198 M -1 130.29 % 213.314 K -54.89 % 472.832 K 0.000 -100.00 % 384.835 K 0.000 0.000 0.000
Preferred stock 0.000 0.000 0.000 0.000 0.000 0.000 0.000 -100.00 % 8.759 M 66.89 % 5.248 M -4.45 % 5.492 M 108.99 % 2.628 M 262 803 700.49 % 1.000 0.000 0.000 0.000 0.000
Other total stockholders equity 14.908 M 0.00 % 14.909 M -32.78 % 22.180 M -34.25 % 33.732 M 22.46 % 27.545 M 0.00 % 27.545 M 6.09 % 25.965 M -0.65 % 26.133 M 15.54 % 22.619 M 24.61 % 18.151 M 43.76 % 12.626 M 0.85 % 12.519 M 0.00 % 12.519 M 760.80 % 1.454 M -59.76 % 3.614 M 20.56 % 2.998 M
Deferred tax liabilities non current 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 100.00 % 0.000 -100.00 % 14.877 K 0.000 0.000 0.000
Other liabilities 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 -100.00 % 1.282 M 0.000 0.000 0.000 0.000 0.000
Total assets 24.006 M -3.29 % 24.823 M 15.36 % 21.518 M 3.32 % 20.827 M 7.49 % 19.375 M 4.26 % 18.583 M -7.57 % 20.105 M 0.38 % 20.028 M -3.77 % 20.812 M 19.88 % 17.360 M 10.19 % 15.755 M 31.16 % 12.012 M -11.12 % 13.515 M 464.96 % 2.392 M -24.44 % 3.166 M -24.64 % 4.201 M
2024-12-31 2024-06-30 2023-12-31 2023-06-30 2022-12-31 2022-06-30 2021-12-31 2021-06-30 2020-12-31 2020-06-30 2019-12-31 2019-06-30 2018-12-31 2018-06-30 2017-12-31 2016-12-31
2024-12-31 2024-06-30 2023-12-31 2023-06-30 2022-12-31 2022-06-30 2021-12-31 2021-06-30 2020-12-31 2020-06-30 2019-12-31 2019-06-30 2018-12-31 2018-06-30 2017-12-31 2017-06-30 2017-01-31 2016-06-30 2016-01-31
Deferred income tax 0.000 -100.00 % 5.310 K -53.42 % 11.399 K 233.17 % -8.560 K 78.27 % -39.385 K 0.000 0.000 0.000 100.00 % -841.372 K 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Stock based compensation 0.000 0.000 0.000 0.000 -100.00 % 155.000 0.000 0.000 0.000 -100.00 % 35.000 K 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Change in working capital 836.575 K 133.94 % -2.465 M -172.40 % -904.745 K 39.86 % -1.504 M -197.18 % 1.548 M 190.13 % -1.718 M -205.81 % -561.646 K -650.26 % -74.860 K -177.59 % 96.484 K 434.91 % -28.809 K -132.00 % 90.036 K 7.23 % 83.964 K -77.99 % 381.458 K 283.45 % -207.933 K -959.26 % 24.199 K 118.02 % -134.299 K -100.00 % -67.150 K -177.90 % -24.163 K -100.00 % -12.082 K
Accounts receivables 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 -100.00 % 411.960 K 216.41 % 130.199 K 200.00 % -130.199 K 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 0.000 0.000 0.000 0.000 0.000 100.00 % -264.784 K 0.000 0.000 0.000 0.000 0.000 0.000
Accounts payables 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 100.00 % -354.980 K -798.11 % 50.849 K 0.000 0.000 0.000 0.000 0.000 0.000
Other working capital 836.575 K 133.94 % -2.465 M -172.40 % -904.745 K -60 042.12 % -1.504 K -197.18 % 1.548 K 100.09 % -1.718 M -205.81 % -561.646 K -650.26 % -74.860 K -177.59 % 96.483 K 434.91 % -28.809 K -110.87 % 265.099 K 882.43 % 26.984 K -89.26 % 251.259 K 423.23 % -77.734 K 0.000 0.000 0.000 0.000 0.000
Other non cash items 651.127 K 335.04 % 149.669 K -23.69 % 196.136 K -81.28 % 1.048 M -34.29 % 1.594 M 106.17 % 773.304 K 34.85 % 573.465 K -28.44 % 801.387 K -14.17 % 933.711 K 65.78 % 563.227 K -50.68 % 1.142 M 7 776.37 % -14.877 K 97.26 % -542.810 K -198.12 % 553.230 K 329 694.34 % 167.750 -99.59 % 41.296 K 100.00 % 20.648 K 1 029.85 % 1.828 K 100.00 % 913.750
Net cash provided by operating activities 345.487 K 116.18 % -2.135 M -166.50 % -801.077 K 67.74 % -2.483 M -239.44 % 1.781 M 191.51 % -1.946 M -72.79 % -1.126 M -154.54 % -442.437 K 49.76 % -880.560 K 42.97 % -1.544 M -167.33 % -577.530 K 24.65 % -766.470 K 27.33 % -1.055 M -263.84 % -289.874 K -24.26 % -233.272 K 52.93 % -495.600 K -100.00 % -247.800 K 42.78 % -433.102 K -100.00 % -216.551 K
Investments in property plant and equipment -823.364 K 36.58 % -1.298 M 2.44 % -1.331 M -42.49 % -933.962 K 31.24 % -1.358 M -45.86 % -931.189 K -4.69 % -889.457 K -72.86 % -514.561 K -9.09 % -471.668 K -1.80 % -463.336 K -224.10 % -142.961 K -23.20 % -116.039 K 16.39 % -138.794 K -209.41 % -44.858 K -3.08 % -43.520 K 67.53 % -134.028 K -100.00 % -67.014 K 62.33 % -177.902 K -100.00 % -88.951 K
Acquisitions net -253.979 K -243.00 % -74.047 K -119.71 % 375.706 K 27.47 % 294.749 K 188.83 % -331.823 K -199.80 % 332.483 K 135.57 % -934.728 K -463.94 % -165.750 K 32.35 % -245.000 K 0.000 100.00 % -5.932 M 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Purchases of investments 0.000 0.000 0.000 0.000 0.000 0.000 -100.00 % 5.040 K 200.00 % -5.040 K 0.000 0.000 0.000 100.00 % -102.643 K 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Sales maturities of investments 0.000 0.000 0.000 0.000 0.000 0.000 0.000 -100.00 % 165.750 K 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Other investing activites -352.020 K -199.86 % 352.520 K 8 813 100.00 % -4.000 100.00 % -373.452 K -639.71 % 69.195 K 124.62 % 30.805 K -69.20 % 100.000 K 10 805.13 % 917.000 100.39 % -233.793 K -1 986.13 % -11.207 K -1 220.70 % 1.000 K 0.000 -100.00 % 75.362 K 200.97 % -74.638 K -271.51 % 43.519 K -67.53 % 134.028 K 100.00 % 67.014 K -62.33 % 177.900 K 100.00 % 88.950 K
Net cash used for investing activites -1.429 M -40.15 % -1.020 M -6.78 % -955.111 K 5.68 % -1.013 M 37.52 % -1.621 M -185.41 % -567.901 K 66.97 % -1.719 M -150.84 % -685.351 K 2.85 % -705.461 K -48.66 % -474.543 K -1 429.89 % 35.683 K 116.32 % -218.683 K -244.75 % -63.432 K 46.92 % -119.496 K -174.58 % -43.520 K 67.53 % -134.028 K -100.00 % -67.014 K 62.33 % -177.902 K -100.00 % -88.951 K
Debt repayment 1.879 M 321.47 % -848.610 K -543.91 % 191.165 K 420.70 % -59.608 K 92.07 % -751.734 K -31.23 % -572.824 K 0.000 100.00 % -550.578 K 0.000 -100.00 % 2.313 M 0.000 100.00 % -151.615 K 0.000 100.00 % -61.357 K 0.000 0.000 0.000 0.000 0.000
Common stock issued -1.981 K -100.05 % 3.980 M 22 626.85 % 17.514 K -99.64 % 4.917 M 0.000 0.000 100.00 % -4.123 K -200.00 % 4.123 K -99.91 % 4.782 M 14 022.26 % 33.862 K -99.71 % 11.841 M 0.000 -100.00 % 27.231 K 0.000 -100.00 % 38.643 K 38.30 % 27.942 K 100.00 % 13.971 K 0.000 0.000
Common stock repurchased -99.601 K 0.000 0.000 0.000 -100.00 % 30.804 K 200.00 % -30.804 K -224.59 % 24.724 K 117.47 % -141.551 K -142.02 % -58.487 K -386.62 % -12.019 K -9.26 % -11.000 K 0.000 100.00 % -10.693 K 0.000 0.000 0.000 0.000 0.000 0.000
Dividends paid 0.000 0.000 0.000 0.000 0.000 0.000 100.00 % -434.191 K 36.89 % -688.006 K 84.60 % -4.468 M -88.84 % -2.366 M 29.77 % -3.369 M 0.000 100.00 % -95.770 K 0.000 0.000 0.000 0.000 0.000 0.000
Other financing activites 1.167 M 498.22 % 195.000 K 0.000 0.000 -100.00 % 30.804 K 0.000 -100.00 % 872.505 K 21 061.90 % 4.123 K -99.95 % 8.994 M 270.06 % 2.430 M -64.65 % 6.875 M 876 982.02 % -784.000 -100.01 % 11.595 M 33 127 677.14 % -35.000 99.87 % -26.896 K 70.47 % -91.066 K -100.00 % -45.533 K 61.07 % -116.975 K -100.00 % -58.487 K
Net cash used provided by financing activities 2.946 M -11.44 % 3.327 M 1 494.20 % 208.679 K -95.70 % 4.858 M 773.84 % -720.930 K -19.43 % -603.628 K -239.02 % 434.191 K 163.11 % -688.006 K -115.40 % 4.468 M 88.84 % 2.366 M -79.57 % 11.579 M 7 698.08 % -152.399 K -101.33 % 11.488 M 18 812.85 % -61.392 K -128.26 % -26.896 K 70.47 % -91.066 K -100.00 % -45.533 K 61.07 % -116.975 K -100.00 % -58.487 K
Effect of forex changes on cash -587.214 K -5 286.03 % 11.323 K -99.32 % 1.676 M 11 052 151.60 % 15.167 215.19 % -13.167 -100.10 % 13.027 K 115.62 % -83.406 K -3 219.15 % 2.674 K 179.75 % -3.353 K -818.63 % -365.000 -122.15 % 1.648 K -99.99 % 11.380 M 6 021 273.02 % -189.000 0.000 -100.00 % 2.756 M 4 309.76 % 62.500 K 100.00 % 31.250 K -94.44 % 562.482 K 100.00 % 281.241 K
Net change in cash 1.275 M 595.42 % 183.375 K 42.39 % 128.786 K 111.24 % -1.146 M -204.21 % 1.100 M 202.93 % -1.068 M 67.07 % -3.245 M 14.91 % -3.813 M -223.87 % 3.078 M 1 755.20 % -185.982 K 95.01 % -3.729 M -136.41 % 10.242 M 1 887.73 % 515.285 K -53.14 % 1.100 M -55.16 % 2.452 M 845.20 % -329.096 K 0.00 % -329.096 K -297.71 % -82.747 K 0.00 % -82.747 K
Cash at beginning of period 1.745 M 28.15 % 1.362 M 10.44 % 1.233 M -48.17 % 2.379 M 85.96 % 1.279 M -45.51 % 2.348 M -58.02 % 5.592 M -40.54 % 9.405 M 48.65 % 6.327 M -2.86 % 6.513 M -36.41 % 10.242 M 0.000 -100.00 % 1.100 M 0.000 -100.00 % 392.590 K -45.60 % 721.686 K 0.00 % 721.686 K -10.29 % 804.433 K 0.00 % 804.433 K
Cash at end of period 2.820 M 61.61 % 1.745 M 41.54 % 1.233 M 0.00 % 1.233 M -48.17 % 2.379 M 85.96 % 1.279 M -45.51 % 2.348 M -58.02 % 5.592 M -40.54 % 9.405 M 48.65 % 6.327 M -2.86 % 6.513 M -36.41 % 10.242 M 534.25 % 1.615 M 46.86 % 1.100 M -61.35 % 2.845 M 624.68 % 392.590 K 0.00 % 392.590 K -45.60 % 721.686 K 0.00 % 721.686 K
Operating cash flow 345.487 K 116.18 % -2.135 M -166.50 % -801.077 K 67.74 % -2.483 M -239.44 % 1.781 M 191.51 % -1.946 M -72.79 % -1.126 M -154.54 % -442.437 K 49.76 % -880.560 K 42.97 % -1.544 M -167.33 % -577.530 K 24.65 % -766.470 K 27.33 % -1.055 M -263.84 % -289.874 K -24.26 % -233.272 K 52.93 % -495.600 K -100.00 % -247.800 K 42.78 % -433.102 K -100.00 % -216.551 K
Capital expenditure -823.364 K 36.58 % -1.298 M 2.44 % -1.331 M -42.49 % -933.962 K 31.24 % -1.358 M -45.86 % -931.189 K -4.69 % -889.457 K -72.86 % -514.561 K -9.09 % -471.668 K -1.80 % -463.336 K -224.10 % -142.961 K -23.20 % -116.039 K 16.39 % -138.794 K -209.41 % -44.858 K -3.08 % -43.520 K 67.53 % -134.028 K -100.00 % -67.014 K 62.33 % -177.902 K -100.00 % -88.951 K
Free CashFlow -477.877 K 86.08 % -3.433 M -61.04 % -2.132 M 37.61 % -3.417 M -908.92 % 422.392 K 114.68 % -2.877 M -42.74 % -2.016 M -110.62 % -956.998 K 29.23 % -1.352 M 32.63 % -2.007 M -178.59 % -720.491 K 18.36 % -882.509 K 26.06 % -1.193 M -256.54 % -334.732 K -20.93 % -276.791 K 56.04 % -629.628 K -100.00 % -314.814 K 48.48 % -611.004 K -100.00 % -305.502 K
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