CLX.L

Calnex Solutions plc CLX.L

Finances

2025 2024 2023 2022 2021 2020 2019 2018 2017 2016
Revenue 18.386 M 12.98 % 16.274 M -40.71 % 27.449 M 24.51 % 22.046 M 22.63 % 17.978 M 30.85 % 13.739 M 30.80 % 10.504 M 23.44 % 8.509 M -10.85 % 9.544 M 11.70 % 8.545 M
Net income 337.000 K 742.50 % 40.000 K -99.32 % 5.911 M 30.20 % 4.540 M 31.48 % 3.453 M 50.98 % 2.287 M 6.83 % 2.141 M 568.75 % -456.717 K -163.44 % 719.967 K -12.00 % 818.143 K
Income before tax 720.000 K 287.50 % -384.000 K -105.63 % 6.818 M 23.60 % 5.516 M 66.09 % 3.321 M 11.41 % 2.981 M 18.61 % 2.513 M 650.27 % -456.717 K -163.44 % 719.967 K -12.00 % 818.143 K
Income before tax ratio 0.04 265.96 % -0.02 -109.50 % 0.25 -0.73 % 0.25 35.45 % 0.18 -14.86 % 0.22 -9.32 % 0.24 545.77 % -0.05 -171.15 % 0.08 -21.22 % 0.10
EBITDA 5.742 M 62.48 % 3.534 M -66.48 % 10.544 M 22.45 % 8.611 M 39.93 % 6.154 M 8.65 % 5.664 M 11.44 % 5.082 M 71.04 % 2.971 M 202.52 % 982.248 K -10.25 % 1.094 M
Net income ratio 0.02 645.72 % 0.00 -98.86 % 0.22 4.57 % 0.21 7.22 % 0.19 15.38 % 0.17 -18.33 % 0.20 479.73 % -0.05 -171.15 % 0.08 -21.22 % 0.10
Ratio EBITDA 0.31 43.81 % 0.22 -43.47 % 0.38 -1.65 % 0.39 14.11 % 0.34 -16.97 % 0.41 -14.80 % 0.48 38.56 % 0.35 239.33 % 0.10 -19.65 % 0.13
Gross profit ratio 0.75 49.16 % 0.50 -16.06 % 0.60 -0.61 % 0.60 -3.55 % 0.62 1.57 % 0.61 -21.57 % 0.78 7.27 % 0.73 -7.00 % 0.78 2.79 % 0.76
Weighted average shs out dil 92.852 M 0.11 % 92.749 M 0.74 % 92.070 M 1.35 % 90.845 M 10.02 % 82.575 M -5.63 % 87.500 M 0.00 % 87.500 M 45.97 % 59.944 M 4.37 % 57.433 M -0.01 % 57.437 M
Weighted average shs out 87.614 M 0.10 % 87.530 M 0.01 % 87.520 M 0.02 % 87.500 M 18.62 % 73.762 M -15.70 % 87.500 M 0.00 % 87.500 M 45.97 % 59.944 M 4.37 % 57.437 M 0.00 % 57.437 M
EPS diluted 0.00 800.00 % 0.00 -99.38 % 0.06 28.40 % 0.05 19.62 % 0.04 60.15 % 0.03 6.53 % 0.02 422.37 % -0.01 -160.80 % 0.01 -11.97 % 0.01
Earnings per share 0.00 660.00 % 0.00 -99.26 % 0.07 30.06 % 0.05 10.90 % 0.05 79.31 % 0.03 6.53 % 0.02 422.37 % -0.01 -160.80 % 0.01 -11.97 % 0.01
Gross profit 13.763 M 68.52 % 8.167 M -50.23 % 16.411 M 23.74 % 13.262 M 18.27 % 11.213 M 32.90 % 8.437 M 2.59 % 8.224 M 32.42 % 6.211 M -17.08 % 7.490 M 14.81 % 6.524 M
Income tax expense 383.000 K 190.33 % -424.000 K -146.75 % 907.000 K -7.07 % 976.000 K 839.39 % -132.000 K -119.02 % 694.000 K 86.39 % 372.338 K 139.06 % 155.754 K 0.000 0.000
Cost of revenue 4.623 M -42.98 % 8.107 M -26.55 % 11.038 M 25.66 % 8.784 M 29.84 % 6.765 M 27.59 % 5.302 M 132.60 % 2.279 M -0.81 % 2.298 M 11.90 % 2.054 M 1.64 % 2.021 M
General and administrative expenses 14.239 M 60.28 % 8.884 M -10.52 % 9.928 M 25.40 % 7.917 M -0.30 % 7.941 M 47.49 % 5.384 M -8.41 % 5.878 M -18.00 % 7.169 M -1.30 % 7.263 M 17.67 % 6.172 M
Selling and marketing expenses 0.000 0.000 100.00 % -3.300 M -13.79 % -2.900 M -9.77 % -2.642 M 0.000 0.000 0.000 0.000 0.000
Other expenses -5.184 M 0.000 0.000 0.000 100.00 % -12.000 K 72.70 % -43.950 K 92.01 % -550.354 K -869.27 % -56.780 K 0.000 0.000
Operating expenses 13.326 M 6.06 % 12.564 M 26.55 % 9.928 M 25.40 % 7.917 M 1.36 % 7.811 M 51.61 % 5.152 M -3.30 % 5.328 M 180.74 % -6.599 M -200.64 % 6.557 M 219.83 % -5.472 M
Cost and expenses 17.949 M 6.26 % 16.891 M -19.44 % 20.966 M 25.54 % 16.701 M 14.58 % 14.576 M 39.43 % 10.454 M 37.42 % 7.607 M 276.89 % -4.301 M -149.95 % 8.610 M 349.50 % -3.451 M
Research and development expenses 4.271 M 12.99 % 3.780 M 14.55 % 3.300 M 13.79 % 2.900 M 16.00 % 2.500 M 25.00 % 2.000 M 21.66 % 1.644 M -45.96 % 3.042 M 9.81 % 2.771 M 26.20 % 2.195 M
Selling general and administrative expenses 14.239 M 60.28 % 8.884 M 34.04 % 6.628 M 32.11 % 5.017 M -5.32 % 5.299 M -1.58 % 5.384 M -8.41 % 5.878 M -18.00 % 7.169 M -1.30 % 7.263 M 17.67 % 6.172 M
Interest income 320.000 K -10.36 % 357.000 K 123.13 % 160.000 K 0.000 -100.00 % 15.000 K -95.07 % 304.000 K -2.75 % 312.612 K 354.62 % 68.763 K 0.000 0.000
Interest expense 37.000 K -70.16 % 124.000 K 376.92 % 26.000 K 30.00 % 20.000 K -88.24 % 170.000 K -44.04 % 303.776 K -20.74 % 383.253 K 39.37 % 274.983 K 28.60 % 213.820 K -8.73 % 234.262 K
Depreciation and amortization 4.985 M 11.35 % 4.477 M 10.24 % 4.061 M 24.34 % 3.266 M 18.68 % 2.752 M 11.49 % 2.468 M 12.92 % 2.186 M 22.11 % 1.790 M 3 594.02 % 48.461 K 215.35 % -42.013 K
Operating income 437.000 K 170.83 % -617.000 K -109.52 % 6.483 M 21.29 % 5.345 M 57.11 % 3.402 M 2.47 % 3.320 M 14.62 % 2.896 M 846.59 % -387.954 K -141.55 % 933.787 K -11.27 % 1.052 M
Operating income ratio 0.02 162.69 % -0.04 -116.05 % 0.24 -2.58 % 0.24 28.12 % 0.19 -21.69 % 0.24 -12.37 % 0.28 704.81 % -0.05 -146.60 % 0.10 -20.56 % 0.12
Total other income expenses net 283.000 K 21.46 % 233.000 K -30.45 % 335.000 K 170.23 % -477.000 K 0.83 % -481.000 K -41.89 % -339.000 K 11.55 % -383.253 K -457.35 % -68.763 K 67.84 % -213.820 K 8.73 % -234.262 K
2025 2024 2023 2022 2021 2020 2019 2018 2017 2016
2025 2024 2023 2022 2021 2020 2019 2018 2017 2016
Net debt -9.695 M 15.35 % -11.453 M 2.51 % -11.748 M -81.49 % -6.473 M 8.86 % -7.102 M -897.65 % -711.870 K -187.29 % 815.484 K -63.86 % 2.256 M 59.39 % 1.416 M -24.65 % 1.879 M
Total investments 126.000 K 5.00 % 120.000 K -98.20 % 6.659 M -17.04 % 8.027 M 60.54 % 5.000 M 1 046.26 % 436.203 K 56.16 % 279.322 K 8.74 % 256.874 K 0.000 0.000
Total debt 1.217 M 193.25 % 415.000 K -39.94 % 691.000 K -19.37 % 857.000 K 51.41 % 566.000 K -80.83 % 2.952 M 10.67 % 2.668 M -12.27 % 3.041 M 71.75 % 1.771 M -20.46 % 2.226 M
Accumulated other comprehensive income loss 1.764 M 24.75 % 1.414 M 61.97 % 873.000 K 73.90 % 502.000 K 298.41 % 126.000 K 83.29 % 68.745 K 148.86 % -140.702 K 6.77 % -150.916 K 0.000 0.000
Retained earnings 17.899 M -2.21 % 18.304 M -3.07 % 18.883 M 37.50 % 13.733 M 45.51 % 9.438 M 63.60 % 5.769 M 65.71 % 3.481 M 159.71 % 1.340 M -35.82 % 2.089 M 52.60 % 1.369 M
Common stock 110.000 K 0.92 % 109.000 K 0.00 % 109.000 K 0.00 % 109.000 K 0.00 % 109.000 K 336.00 % 25.000 K 0.75 % 24.814 K 0.00 % 24.814 K 4.52 % 23.742 K 0.00 % 23.742 K
Total equity 27.444 M 0.39 % 27.338 M -0.08 % 27.360 M 25.34 % 21.828 M 27.23 % 17.157 M 145.06 % 7.001 M 50.32 % 4.657 M 85.07 % 2.517 M -20.24 % 3.155 M 29.56 % 2.435 M
Other non current liabilities 4.351 M 28 906.67 % 15.000 K -93.88 % 245.000 K 1 533.33 % 15.000 K 0.00 % 15.000 K -99.15 % 1.758 M 11 620.00 % 15.000 K -95.28 % 318.083 K -19.13 % 393.344 K -5.66 % 416.937 K
Long term debt 928.000 K 375.90 % 195.000 K -54.76 % 431.000 K -35.09 % 664.000 K 52.29 % 436.000 K -79.58 % 2.135 M 4.58 % 2.041 M -22.32 % 2.628 M 122.42 % 1.182 M -26.33 % 1.604 M
Total non current liabilities 5.279 M 14.84 % 4.597 M 6.93 % 4.299 M 25.92 % 3.414 M 35.42 % 2.521 M 59.46 % 1.581 M -54.83 % 3.500 M -18.09 % 4.272 M 171.27 % 1.575 M -22.06 % 2.021 M
Other current liabilities 4.254 M 14.32 % 3.721 M 140.53 % 1.547 M -66.64 % 4.637 M 143.67 % 1.903 M -18.47 % 2.334 M 99.97 % 1.167 M 12.17 % 1.041 M 15.88 % 897.917 K -6.26 % 957.921 K
Deferred revenue 0.000 0.000 -100.00 % 2.671 M 31.58 % 2.030 M 35.42 % 1.499 M 57.53 % 951.562 K -48.49 % 1.847 M 19.31 % 1.548 M 0.000 0.000
Short term debt 289.000 K 31.36 % 220.000 K 106.76 % -3.254 M -1 786.01 % 193.000 K 112.40 % -1.557 M -290.58 % 817.000 K 30.48 % 626.151 K 51.75 % 412.626 K -29.93 % 588.889 K -5.36 % 622.222 K
Total current liabilities 5.756 M 13.64 % 5.065 M -28.57 % 7.091 M 20.13 % 5.903 M 28.27 % 4.602 M 8.28 % 4.250 M 20.66 % 3.522 M 21.87 % 2.890 M 21.44 % 2.380 M 2.18 % 2.329 M
Total liabilities 11.035 M 14.21 % 9.662 M -15.17 % 11.390 M 22.25 % 9.317 M 30.80 % 7.123 M -12.53 % 8.143 M 15.97 % 7.022 M -1.96 % 7.163 M 81.11 % 3.955 M -9.08 % 4.350 M
Other non current assets 0.000 0.000 100.00 % -3.980 M -238.72 % -1.175 M -56.25 % -752.000 K 24.04 % -990.000 K 0.000 0.000 -100.00 % 3.916 M 18.76 % 3.297 M
Long term investments 0.000 0.000 -100.00 % 1.980 M 68.51 % 1.175 M 56.25 % 752.000 K 72.40 % 436.203 K 56.16 % 279.322 K 8.74 % 256.874 K 0.000 0.000
Intangible assets 12.255 M 1.20 % 12.110 M -3.62 % 12.565 M 49.16 % 8.424 M 11.95 % 7.525 M 2 335.28 % 309.000 K 2 868.58 % 10.409 K -33.28 % 15.600 K -53.14 % 33.288 K 16.75 % 28.512 K
GoodWill 2.000 M 0.00 % 2.000 M 0.00 % 2.000 M 0.000 0.000 0.000 -100.00 % 1.009 M -28.96 % 1.420 M 0.000 0.000
Goodwill and intangible assets 14.255 M 1.03 % 14.110 M -3.12 % 14.565 M 72.90 % 8.424 M 11.95 % 7.525 M 2 335.28 % 309.000 K -69.69 % 1.019 M -29.01 % 1.436 M 4 213.82 % 33.288 K 16.75 % 28.512 K
Property plant equipment net 1.302 M 107.32 % 628.000 K -32.98 % 937.000 K -12.02 % 1.065 M 95.77 % 544.000 K -20.12 % 681.000 K 782.35 % 77.180 K -58.64 % 186.623 K 533.35 % 29.466 K -4.33 % 30.801 K
Total non current assets 15.856 M -0.80 % 15.984 M 16.04 % 13.774 M 40.65 % 9.793 M 12.80 % 8.682 M 776.97 % 990.000 K -85.96 % 7.053 M 13.09 % 6.237 M 56.77 % 3.978 M 18.53 % 3.356 M
Other current assets 684.000 K 57.24 % 435.000 K -17.14 % 525.000 K -40.14 % 877.000 K 5.54 % 831.000 K 47.86 % 562.000 K -71.91 % 2.001 M 6.85 % 1.872 M 168.40 % 697.656 K 2.18 % 682.780 K
Short term investments 126.000 K 0.000 -100.00 % 6.659 M -17.04 % 8.027 M 60.54 % 5.000 M 0.000 0.000 0.000 0.000 0.000
cash and cash equivalents 10.912 M -8.06 % 11.868 M -4.59 % 12.439 M 69.70 % 7.330 M -4.41 % 7.668 M 109.28 % 3.664 M 97.83 % 1.852 M 136.10 % 784.450 K 121.01 % 354.933 K 2.17 % 347.383 K
Cash and short term investments 10.912 M -8.06 % 11.868 M -37.86 % 19.098 M 24.36 % 15.357 M 21.23 % 12.668 M 245.74 % 3.664 M 97.83 % 1.852 M 136.10 % 784.450 K 121.01 % 354.933 K 2.17 % 347.383 K
Total current assets 22.623 M 7.65 % 21.016 M -15.86 % 24.976 M 16.97 % 21.352 M 36.89 % 15.598 M 118.77 % 7.130 M 54.13 % 4.626 M 34.38 % 3.442 M 9.92 % 3.132 M -8.66 % 3.429 M
Inventory 5.358 M -0.28 % 5.373 M 95.52 % 2.748 M 175.35 % 998.000 K -10.17 % 1.111 M 15.97 % 958.000 K 23.91 % 773.151 K -1.56 % 785.399 K -17.19 % 948.386 K 38.65 % 683.991 K
Net receivables 5.669 M 69.73 % 3.340 M 6.71 % 3.130 M -28.85 % 4.399 M 141.84 % 1.819 M -27.47 % 2.508 M 47.14 % 1.705 M 0.000 -100.00 % 1.131 M -34.05 % 1.715 M
Tax assets 299.000 K -76.00 % 1.246 M 358.09 % 272.000 K -10.53 % 304.000 K -50.41 % 613.000 K 10.69 % 553.797 K 9.23 % 506.988 K 23.18 % 411.586 K 0.000 0.000
Other assets 0.000 0.000 0.000 0.000 0.000 -100.00 % 7.024 M 0.000 0.000 0.000 0.000
Account payables 987.000 K 8.11 % 913.000 K -48.42 % 1.770 M 91.56 % 924.000 K -2.12 % 944.000 K -5.51 % 999.000 K 42.65 % 700.324 K 0.41 % 697.497 K -21.90 % 893.041 K 19.23 % 749.026 K
Tax payables 226.000 K 7.11 % 211.000 K -74.97 % 843.000 K 465.77 % 149.000 K 18.25 % 126.000 K 26.00 % 100.000 K 1.85 % 98.180 K -35.53 % 152.292 K 0.000 0.000
Deferred revenue non current 1.411 M -6.56 % 1.510 M 29.50 % 1.166 M 62.40 % 718.000 K -4.14 % 749.000 K 34.87 % 555.346 K 19.71 % 463.921 K 2.08 % 454.478 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 0.000
Capital lease obligations 1.217 M 193.25 % 415.000 K -39.94 % 691.000 K -19.37 % 857.000 K 51.41 % 566.000 K -16.27 % 676.000 K 625.67 % 93.155 K -57.81 % 220.781 K 0.000 0.000
Preferred stock 0.000 0.000 0.000 0.000 0.000 0.000 -100.00 % 5.043 M 0.000 0.000 0.000
Other total stockholders equity 7.671 M 2.13 % 7.511 M 0.21 % 7.495 M 0.15 % 7.484 M 0.00 % 7.484 M 520.05 % 1.207 M 6.06 % 1.138 M -1.16 % 1.151 M 10.42 % 1.043 M 0.00 % 1.043 M
Deferred tax liabilities non current 2.940 M 2.19 % 2.877 M 17.09 % 2.457 M 21.81 % 2.017 M 52.69 % 1.321 M 11.17 % 1.188 M 21.33 % 979.397 K 12.35 % 871.716 K 0.000 0.000
Other liabilities 0.000 0.000 0.000 0.000 0.000 -100.00 % 2.312 M 0.000 0.000 0.000 0.000
Total assets 38.479 M 4.00 % 37.000 M -4.52 % 38.750 M 24.42 % 31.145 M 28.27 % 24.280 M 60.33 % 15.144 M 29.66 % 11.679 M 20.66 % 9.679 M 36.14 % 7.110 M 4.79 % 6.785 M
2025 2024 2023 2022 2021 2020 2019 2018 2017 2016
2025 2024 2023 2022 2021 2020 2019 2018 2017 2016
Deferred income tax 0.000 0.000 100.00 % -8.960 M -5.19 % -8.518 M -120.22 % -3.868 M -886.18 % 492.000 K 0.000 0.000 0.000 0.000
Stock based compensation 432.000 K -42.09 % 746.000 K 29.97 % 574.000 K 119.08 % 262.000 K -4.73 % 275.000 K 400.00 % 55.000 K 0.000 0.000 0.000 0.000
Change in working capital -1.580 M 65.57 % -4.589 M -772.43 % -526.000 K 66.58 % -1.574 M -182.37 % 1.911 M 449.36 % -547.000 K -952.18 % 64.188 K 151.86 % -123.760 K -140.64 % 304.564 K 149.27 % -618.204 K
Accounts receivables -2.334 M -119.98 % -1.061 M -165.53 % 1.619 M 157.51 % -2.815 M -444.13 % 818.000 K 329.78 % -356.000 K 35.54 % -552.320 K -170.31 % -204.329 K -135.91 % 568.959 K 208.43 % -524.735 K
Inventory -405.000 K 85.64 % -2.820 M -81.47 % -1.554 M -3 989.47 % -38.000 K 78.65 % -178.000 K 6.81 % -191.000 K -76.33 % -108.321 K -234.45 % 80.569 K 130.47 % -264.395 K -182.87 % -93.469 K
Accounts payables 738.000 K 181.73 % -903.000 K -174.47 % -329.000 K -129.14 % 1.129 M -11.17 % 1.271 M 79.88 % 706.601 K 89.50 % 372.874 K 197.56 % -382.198 K 0.000 0.000
Other working capital 128.000 K -34.36 % 195.000 K 174.43 % -262.000 K -274.67 % 150.000 K 0.000 100.00 % -706.601 K -300.76 % 351.955 K -7.91 % 382.198 K 0.000 0.000
Other non cash items 26.000 K 101.78 % -1.458 M -114.28 % 10.211 M 8.93 % 9.374 M 107.11 % 4.526 M 1 582.53 % 269.000 K 194.15 % -285.720 K -111.25 % 2.539 M 3.43 % 2.455 M 2.24 % 2.401 M
Net cash provided by operating activities 4.583 M 684.57 % -784.000 K -106.96 % 11.271 M 53.35 % 7.350 M -18.78 % 9.049 M 63.78 % 5.525 M 23.39 % 4.478 M 123.96 % 1.999 M -43.32 % 3.528 M 33.48 % 2.643 M
Investments in property plant and equipment -28.000 K 74.77 % -111.000 K 97.64 % -4.704 M -11.65 % -4.213 M -26.06 % -3.342 M -11 040.00 % -30.000 K 98.96 % -2.885 M -56 944.61 % -5.057 K 77.21 % -22.189 K -143.33 % -9.119 K
Acquisitions net 0.000 0.000 100.00 % -2.263 M 0.000 0.000 0.000 0.000 100.00 % -1.247 M 0.000 0.000
Purchases of investments 0.000 0.000 100.00 % -15.000 K 99.00 % -1.500 M 0.000 0.000 0.000 0.000 0.000 0.000
Sales maturities of investments 0.000 0.000 -100.00 % 6.641 M 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Other investing activites -4.544 M -21.95 % -3.726 M 43.89 % -6.641 M -22.69 % -5.413 M -62.45 % -3.332 M -14.46 % -2.911 M -1.11 % -2.879 M 25.32 % -3.855 M -12.76 % -3.419 M -17.40 % -2.912 M
Net cash used for investing activites -4.572 M -19.16 % -3.837 M 45.04 % -6.982 M -22.21 % -5.713 M -70.95 % -3.342 M -13.63 % -2.941 M -1.95 % -2.885 M 25.26 % -3.860 M -12.18 % -3.441 M -17.80 % -2.921 M
Debt repayment -314.000 K 0.000 0.000 0.000 100.00 % -2.276 M -663.47 % -298.113 K -21.39 % -245.580 K -123.40 % 1.049 M 330.37 % -455.556 K -267.25 % -124.044 K
Common stock issued 161.000 K 906.25 % 16.000 K 45.45 % 11.000 K 0.000 -100.00 % 6.328 M 0.000 0.000 0.000 0.000 0.000
Common stock repurchased 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Dividends paid -814.000 K 0.00 % -814.000 K -6.96 % -761.000 K -210.61 % -245.000 K 0.000 0.000 0.000 0.000 0.000 0.000
Other financing activites 0.000 100.00 % -296.000 K -258.29 % 187.000 K 192.12 % -203.000 K 73.11 % -755.000 K -49.84 % -503.887 K -78.22 % -282.736 K -122.79 % 1.241 M 229.55 % 376.465 K -8.60 % 411.868 K
Net cash used provided by financing activities -967.000 K 11.61 % -1.094 M -94.32 % -563.000 K -25.67 % -448.000 K -113.59 % 3.297 M 511.10 % -802.000 K -51.80 % -528.316 K -123.07 % 2.290 M 2 995.57 % -79.091 K -127.48 % 287.824 K
Effect of forex changes on cash 0.000 0.000 -100.00 % 1.383 M 190.57 % -1.527 M 69.46 % -5.000 M -16 766.26 % 30.000 K 895.02 % 3.015 K 117.81 % -16.924 K 0.000 -100.00 % 337.774 K
Net change in cash -956.000 K 83.27 % -5.715 M -211.86 % 5.109 M 1 611.54 % -338.000 K -108.44 % 4.004 M 120.99 % 1.812 M 69.71 % 1.068 M 148.57 % 429.517 K 5 588.97 % 7.550 K -97.83 % 347.383 K
Cash at beginning of period 11.868 M -32.50 % 17.583 M 139.88 % 7.330 M -4.41 % 7.668 M 109.29 % 3.664 M 97.82 % 1.852 M 136.10 % 784.450 K 121.01 % 354.933 K 2.17 % 347.383 K 0.000
Cash at end of period 10.912 M -8.06 % 11.868 M -4.59 % 12.439 M 69.70 % 7.330 M -4.41 % 7.668 M 109.28 % 3.664 M 97.83 % 1.852 M 136.10 % 784.450 K 121.01 % 354.933 K 2.17 % 347.383 K
Operating cash flow 4.583 M 684.57 % -784.000 K -106.96 % 11.271 M 53.35 % 7.350 M -18.78 % 9.049 M 63.78 % 5.525 M 23.39 % 4.478 M 123.96 % 1.999 M -43.32 % 3.528 M 33.48 % 2.643 M
Capital expenditure -4.892 M 14.31 % -5.709 M -21.36 % -4.704 M -11.65 % -4.213 M -26.06 % -3.342 M -11 040.00 % -30.000 K 98.96 % -2.885 M -56 944.61 % -5.057 K 77.21 % -22.189 K -143.33 % -9.119 K
Free CashFlow -309.000 K 95.24 % -6.493 M -198.87 % 6.567 M 109.34 % 3.137 M -45.03 % 5.707 M 3.86 % 5.495 M 244.96 % 1.593 M -20.12 % 1.994 M -43.11 % 3.505 M 33.10 % 2.634 M
2025 2024 2023 2022 2021 2020 2019 2018 2017 2016
2025-03-31 2024-09-30 2024-03-31 2023-09-30 2023-03-31 2022-09-30 2022-03-31 2021-09-30 2021-03-31 2020-09-30 2020-03-31 2019-09-30
Revenue 11.027 M 49.84 % 7.359 M -12.67 % 8.427 M 7.39 % 7.847 M -46.70 % 14.721 M 15.66 % 12.728 M -0.52 % 12.795 M 38.31 % 9.251 M -9.81 % 10.257 M 32.86 % 7.721 M -4.49 % 8.084 M 42.94 % 5.655 M
Net income 1.327 M 234.04 % -990.000 K -337.98 % 416.000 K 210.64 % -376.000 K -110.80 % 3.481 M 43.25 % 2.430 M -11.44 % 2.744 M 52.78 % 1.796 M -10.59 % 2.009 M 39.07 % 1.444 M 2.11 % 1.414 M 62.10 % 872.580 K
Income before tax 2.038 M 254.63 % -1.318 M -713.02 % 215.000 K 135.89 % -599.000 K -114.53 % 4.122 M 33.57 % 3.086 M -15.80 % 3.665 M 58.80 % 2.308 M 35.97 % 1.697 M -12.94 % 1.950 M 5.71 % 1.844 M 62.25 % 1.137 M
Income before tax ratio 0.18 203.19 % -0.18 -801.99 % 0.03 133.42 % -0.08 -127.26 % 0.28 15.49 % 0.24 -15.35 % 0.29 14.81 % 0.25 50.77 % 0.17 -34.47 % 0.25 10.68 % 0.23 13.51 % 0.20
EBITDA 2.143 M 272.41 % -1.243 M -436.86 % 369.000 K -76.57 % 1.575 M -74.67 % 6.219 M 22.52 % 5.076 M 34.96 % 3.761 M 57.63 % 2.386 M -23.77 % 3.130 M -8.98 % 3.439 M 3.55 % 3.321 M 41.73 % 2.343 M
Net income ratio 0.12 189.45 % -0.13 -372.52 % 0.05 203.02 % -0.05 -120.26 % 0.24 23.86 % 0.19 -10.98 % 0.21 10.47 % 0.19 -0.86 % 0.20 4.68 % 0.19 6.92 % 0.17 13.40 % 0.15
Ratio EBITDA 0.19 215.06 % -0.17 -485.74 % 0.04 -78.18 % 0.20 -52.49 % 0.42 5.93 % 0.40 35.67 % 0.29 13.97 % 0.26 -15.48 % 0.31 -31.49 % 0.45 8.42 % 0.41 -0.84 % 0.41
Gross profit ratio 0.56 23.43 % 0.45 -8.02 % 0.49 5.13 % 0.47 -21.45 % 0.60 -0.71 % 0.60 -1.22 % 0.61 2.42 % 0.59 -6.63 % 0.64 4.46 % 0.61 25.42 % 0.48 -39.29 % 0.80
Weighted average shs out dil 98.158 M 12.12 % 87.546 M -10.64 % 97.974 M 11.94 % 87.524 M -5.36 % 92.477 M 1.08 % 91.493 M 0.37 % 91.155 M 0.86 % 90.375 M 3.29 % 87.500 M 0.00 % 87.500 M 16.67 % 75.000 M 0.00 % 75.000 M
Weighted average shs out 98.420 M 12.42 % 87.549 M 0.03 % 87.525 M 0.00 % 87.524 M 0.00 % 87.524 M 0.02 % 87.508 M 0.01 % 87.500 M 0.00 % 87.500 M 0.00 % 87.500 M 0.00 % 87.500 M 16.92 % 74.837 M -0.51 % 75.222 M
EPS diluted 0.01 219.47 % -0.01 -369.05 % 0.00 197.67 % 0.00 -111.44 % 0.04 41.35 % 0.03 -11.63 % 0.03 51.26 % 0.02 -13.48 % 0.02 39.39 % 0.02 -12.70 % 0.02 62.93 % 0.01
Earnings per share 0.02 233.63 % -0.01 -335.42 % 0.00 211.63 % 0.00 -110.80 % 0.04 43.17 % 0.03 -11.46 % 0.03 53.17 % 0.02 -10.87 % 0.02 39.39 % 0.02 -12.70 % 0.02 62.93 % 0.01
Gross profit 6.161 M 84.96 % 3.331 M -19.68 % 4.147 M 12.90 % 3.673 M -58.13 % 8.772 M 14.83 % 7.639 M -1.74 % 7.774 M 41.65 % 5.488 M -15.79 % 6.517 M 38.79 % 4.696 M 19.79 % 3.920 M -13.22 % 4.517 M
Income tax expense 711.000 K 316.77 % -328.000 K -63.18 % -201.000 K 9.87 % -223.000 K -134.79 % 641.000 K -2.29 % 656.000 K -28.77 % 921.000 K 79.88 % 512.000 K 264.48 % -311.285 K -161.61 % 505.285 K 17.55 % 429.860 K 62.74 % 264.140 K
Cost of revenue 4.866 M 20.80 % 4.028 M -5.89 % 4.280 M 2.54 % 4.174 M -29.84 % 5.949 M 16.90 % 5.089 M 1.35 % 5.021 M 33.43 % 3.763 M 0.61 % 3.740 M 23.65 % 3.025 M -27.35 % 4.164 M 265.75 % 1.138 M
General and administrative expenses 4.488 M -5.83 % 4.766 M 15.37 % 4.131 M -13.09 % 4.753 M -7.83 % 5.157 M -21.49 % 6.569 M 112.11 % 3.097 M -35.75 % 4.820 M 23.72 % 3.896 M -3.68 % 4.045 M 99.46 % 2.028 M -39.57 % 3.356 M
Selling and marketing expenses 0.000 0.000 0.000 100.00 % -211.000 K -363.75 % 80.000 K 104.26 % -1.878 M -220.54 % 1.558 M 200.00 % -1.558 M -216.70 % 1.335 M 200.00 % -1.335 M 0.000 0.000
Other expenses -2.399 M -15.84 % -2.071 M 27.26 % -2.847 M 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Operating expenses 4.252 M -11.47 % 4.803 M 47.88 % 3.248 M -28.49 % 4.542 M -13.27 % 5.237 M 11.64 % 4.691 M 0.77 % 4.655 M 42.70 % 3.262 M -37.64 % 5.231 M 93.04 % 2.710 M 40.01 % 1.936 M -39.82 % 3.216 M
Cost and expenses 9.118 M 3.25 % 8.831 M 17.31 % 7.528 M -13.63 % 8.716 M -22.08 % 11.186 M 14.38 % 9.780 M 1.07 % 9.676 M 37.74 % 7.025 M -21.69 % 8.971 M 56.44 % 5.735 M -5.98 % 6.099 M 40.05 % 4.355 M
Research and development expenses 2.163 M 2.61 % 2.108 M 7.33 % 1.964 M 8.15 % 1.816 M 6.57 % 1.704 M 5.84 % 1.610 M 6.62 % 1.510 M 8.01 % 1.398 M 9.30 % 1.279 M 6.58 % 1.200 M 8.90 % 1.102 M 22.71 % 898.040 K
Selling general and administrative expenses 4.488 M -5.83 % 4.766 M 15.37 % 4.131 M -9.05 % 4.542 M -13.27 % 5.237 M 11.64 % 4.691 M 0.77 % 4.655 M 42.70 % 3.262 M -37.64 % 5.231 M 93.04 % 2.710 M 33.62 % 2.028 M -39.57 % 3.356 M
Interest income 158.000 K -2.47 % 162.000 K -13.37 % 187.000 K 10.00 % 170.000 K 1 114.29 % 14.000 K 16.67 % 12.000 K 33.33 % 9.000 K -18.18 % 11.000 K -31.25 % 16.000 K -89.61 % 154.000 K 0.000 0.000
Interest expense 29.000 K 262.50 % 8.000 K -11.11 % 9.000 K -18.18 % 11.000 K -21.43 % 14.000 K 16.67 % 12.000 K 33.33 % 9.000 K -18.18 % 11.000 K -32.56 % 16.310 K -89.39 % 153.690 K 9.61 % 140.213 K -14.39 % 163.787 K
Depreciation and amortization 234.000 K 2.18 % 229.000 K 0.44 % 228.000 K -89.46 % 2.163 M 3.84 % 2.083 M 5.31 % 1.978 M 15.81 % 1.708 M 9.63 % 1.558 M 9.99 % 1.416 M 6.06 % 1.336 M 1.27 % 1.319 M 28.65 % 1.025 M
Operating income 1.909 M 229.69 % -1.472 M -263.74 % 899.000 K 203.45 % -869.000 K -124.58 % 3.535 M 19.91 % 2.948 M -5.48 % 3.119 M 40.12 % 2.226 M 73.08 % 1.286 M -35.24 % 1.986 M -0.81 % 2.002 M 51.91 % 1.318 M
Operating income ratio 0.17 186.55 % -0.20 -287.50 % 0.11 196.33 % -0.11 -146.12 % 0.24 3.68 % 0.23 -4.98 % 0.24 1.31 % 0.24 91.91 % 0.13 -51.26 % 0.26 3.86 % 0.25 6.28 % 0.23
Total other income expenses net 128.999 K -16.23 % 154.000 K 122.51 % -684.000 K -353.33 % 270.000 K -54.00 % 587.000 K 118.87 % -3.110 M -33.59 % -2.328 M -257.30 % 1.480 M 9 581.71 % -15.609 K 57.01 % -36.307 K 76.99 % -157.799 K 12.91 % -181.201 K
2025-03-31 2024-09-30 2024-03-31 2023-09-30 2023-03-31 2022-09-30 2022-03-31 2021-09-30 2021-03-31 2020-09-30 2020-03-31 2019-09-30
2025-03-31 2024-09-30 2024-03-31 2023-09-30 2023-03-31 2022-09-30 2022-03-31 2021-09-30 2021-03-31 2020-09-30 2020-03-31 2019-03-31 2018-03-31 2017-03-31 2016-03-31
Net debt -9.695 M -16.72 % -8.306 M 27.48 % -11.453 M -49.30 % -7.671 M 34.70 % -11.748 M -109.34 % -5.612 M 13.30 % -6.473 M 1.01 % -6.539 M 7.93 % -7.102 M -265.31 % -1.944 M -173.14 % -711.748 K -187.28 % 815.484 K -63.86 % 2.256 M 59.39 % 1.416 M -24.65 % 1.879 M
Total investments 126.000 K 0.000 -100.00 % 120.000 K -97.72 % 5.256 M -21.07 % 6.659 M -17.44 % 8.066 M 0.49 % 8.027 M 23.26 % 6.512 M 30.24 % 5.000 M 470.35 % 876.653 K -11.45 % 990.000 K 254.43 % 279.322 K 8.74 % 256.874 K 0.000 0.000
Total debt 1.217 M 344.16 % 274.000 K -33.98 % 415.000 K -24.68 % 551.000 K -20.26 % 691.000 K -8.84 % 758.000 K -11.55 % 857.000 K 44.76 % 592.000 K 4.59 % 566.000 K -77.95 % 2.567 M -13.04 % 2.952 M 10.67 % 2.668 M -12.27 % 3.041 M 71.75 % 1.771 M -20.46 % 2.226 M
Accumulated other comprehensive income loss 1.764 M -2.76 % 1.814 M 28.29 % 1.414 M 6.56 % 1.327 M 52.00 % 873.000 K 14.27 % 764.000 K 52.19 % 502.000 K 116.38 % 232.000 K 84.13 % 126.000 K -92.64 % 1.711 M 1 263.38 % -147.057 K -4.52 % -140.702 K 6.77 % -150.916 K 0.000 0.000
Retained earnings 17.899 M 6.72 % 16.772 M -8.37 % 18.304 M 1.89 % 17.964 M -4.87 % 18.883 M 20.48 % 15.673 M 14.13 % 13.733 M 22.24 % 11.234 M 19.03 % 9.438 M 65.05 % 5.718 M -0.87 % 5.769 M 65.70 % 3.481 M 159.71 % 1.340 M -35.82 % 2.089 M 52.60 % 1.369 M
Common stock 110.000 K 0.92 % 109.000 K 0.00 % 109.000 K 0.00 % 109.000 K 0.00 % 109.000 K 0.00 % 109.000 K 0.00 % 109.000 K 0.00 % 109.000 K 0.00 % 109.000 K 45.28 % 75.030 K 202.37 % 24.814 K 0.00 % 24.814 K 0.00 % 24.814 K 4.52 % 23.742 K 0.00 % 23.742 K
Total equity 27.444 M 4.72 % 26.206 M -4.14 % 27.338 M 1.65 % 26.895 M -1.70 % 27.360 M 13.81 % 24.041 M 10.14 % 21.828 M 14.53 % 19.059 M 11.09 % 17.157 M 98.53 % 8.642 M 23.46 % 7.000 M 50.30 % 4.657 M 85.07 % 2.517 M -20.24 % 3.155 M 29.56 % 2.435 M
Other non current liabilities 4.351 M 28 906.67 % 15.000 K 0.00 % 15.000 K 0.00 % 15.000 K -93.88 % 245.000 K 1 533.33 % 15.000 K 0.00 % 15.000 K 0.00 % 15.000 K 0.00 % 15.000 K 0.01 % 14.999 K -91.54 % 177.196 K 1 081.31 % 15.000 K -95.28 % 318.083 K -19.13 % 393.344 K -5.66 % 416.937 K
Long term debt 928.000 K 531.29 % 147.000 K -24.62 % 195.000 K -30.36 % 280.000 K -35.03 % 431.000 K -23.85 % 566.000 K -14.76 % 664.000 K 59.23 % 417.000 K -4.36 % 436.000 K -7.05 % 469.045 K -78.03 % 2.135 M 4.58 % 2.041 M -22.32 % 2.628 M 122.42 % 1.182 M -26.33 % 1.604 M
Total non current liabilities 5.279 M 13.89 % 4.635 M 0.83 % 4.597 M 13.39 % 4.054 M -5.70 % 4.299 M -10.42 % 4.799 M 40.57 % 3.414 M 15.73 % 2.950 M 17.02 % 2.521 M 20.49 % 2.092 M -9.51 % 2.312 M -33.93 % 3.500 M -18.09 % 4.272 M 171.27 % 1.575 M -22.06 % 2.021 M
Other current liabilities 3.965 M 45.18 % 2.731 M -26.61 % 3.721 M 14.14 % 3.260 M 110.73 % 1.547 M -18.32 % 1.894 M -59.15 % 4.637 M 138.53 % 1.944 M 2.15 % 1.903 M 167.07 % 712.535 K -81.80 % 3.915 M 235.45 % 1.167 M 12.17 % 1.041 M 15.88 % 897.917 K -6.26 % 957.921 K
Deferred revenue 0.000 0.000 0.000 -100.00 % 2.393 M -10.41 % 2.671 M 50.22 % 1.778 M -12.41 % 2.030 M 34.08 % 1.514 M 1.00 % 1.499 M 24.97 % 1.199 M -48.65 % 2.336 M 26.44 % 1.847 M 19.31 % 1.548 M 0.000 0.000
Short term debt 578.000 K 127.56 % 254.000 K 15.45 % 220.000 K -18.82 % 271.000 K 108.33 % -3.254 M -79.88 % -1.809 M -1 037.31 % 193.000 K 113.43 % -1.437 M 7.71 % -1.557 M -174.21 % 2.098 M 156.80 % 817.000 K 30.48 % 626.151 K 51.75 % 412.626 K -29.93 % 588.889 K -5.36 % 622.222 K
Total current liabilities 5.756 M 70.04 % 3.385 M -33.17 % 5.065 M -12.46 % 5.786 M -18.40 % 7.091 M 13.44 % 6.251 M 5.90 % 5.903 M 27.00 % 4.648 M 1.00 % 4.602 M -8.52 % 5.031 M -13.72 % 5.831 M 65.55 % 3.522 M 21.87 % 2.890 M 21.44 % 2.380 M 2.18 % 2.329 M
Total liabilities 11.035 M 37.59 % 8.020 M -16.99 % 9.662 M -1.81 % 9.840 M -13.61 % 11.390 M 3.08 % 11.050 M 18.60 % 9.317 M 22.62 % 7.598 M 6.67 % 7.123 M 0.00 % 7.123 M -12.53 % 8.143 M 15.97 % 7.022 M -1.96 % 7.163 M 81.11 % 3.955 M -9.08 % 4.350 M
Other non current assets 0.000 -100.00 % 661.000 K 0.000 100.00 % -13.103 M -229.22 % -3.980 M -3.81 % -3.834 M -226.30 % -1.175 M -36.95 % -858.000 K -14.10 % -752.000 K 14.22 % -876.653 K 11.45 % -990.000 K 0.000 0.000 -100.00 % 3.916 M 18.76 % 3.297 M
Long term investments 0.000 0.000 0.000 -100.00 % 11.103 M 460.76 % 1.980 M -9.51 % 2.188 M 86.21 % 1.175 M 36.95 % 858.000 K 14.10 % 752.000 K -14.22 % 876.653 K -11.45 % 990.000 K 254.43 % 279.322 K 8.74 % 256.874 K 0.000 0.000
Intangible assets 12.255 M 3.66 % 11.822 M -2.38 % 12.110 M -8.03 % 13.168 M 4.80 % 12.565 M 6.24 % 11.827 M 40.40 % 8.424 M 5.54 % 7.982 M 6.07 % 7.525 M 7.36 % 7.009 M 3.40 % 6.779 M 9.51 % 6.190 M 15.02 % 5.382 M 16 067.49 % 33.288 K 16.75 % 28.512 K
GoodWill 2.000 M 0.00 % 2.000 M 0.00 % 2.000 M 0.00 % 2.000 M 0.00 % 2.000 M 21.51 % 1.646 M 0.000 0.000 0.000 0.000 0.000 -100.00 % 1.009 M -28.96 % 1.420 M 0.000 0.000
Goodwill and intangible assets 14.255 M 3.13 % 13.822 M -2.04 % 14.110 M -6.98 % 15.168 M 4.14 % 14.565 M 8.11 % 13.473 M 59.94 % 8.424 M 5.54 % 7.982 M 6.07 % 7.525 M 7.36 % 7.009 M 3.40 % 6.779 M 9.51 % 6.190 M 15.02 % 5.382 M 16 067.49 % 33.288 K 16.75 % 28.512 K
Property plant equipment net 1.302 M 195.91 % 440.000 K -29.94 % 628.000 K -25.50 % 843.000 K -10.03 % 937.000 K -2.09 % 957.000 K -10.14 % 1.065 M 52.36 % 699.000 K 28.49 % 544.000 K -12.37 % 620.761 K -8.79 % 680.553 K 781.77 % 77.180 K -58.64 % 186.623 K 533.35 % 29.466 K -4.33 % 30.801 K
Total non current assets 15.856 M 2.59 % 15.456 M -3.30 % 15.984 M 8.72 % 14.702 M 6.74 % 13.774 M 5.24 % 13.088 M 33.65 % 9.793 M 4.06 % 9.411 M 8.40 % 8.682 M 10.17 % 7.881 M -1.65 % 8.013 M 13.60 % 7.053 M 13.09 % 6.237 M 56.77 % 3.978 M 18.53 % 3.356 M
Other current assets 684.000 K -54.85 % 1.515 M 77.61 % 853.000 K -58.25 % 2.043 M 289.14 % 525.000 K -34.21 % 798.000 K -9.01 % 877.000 K 0.11 % 876.000 K 5.42 % 831.000 K 68.40 % 493.459 K -12.20 % 562.000 K -71.91 % 2.001 M 6.85 % 1.872 M 168.40 % 697.656 K 2.18 % 682.780 K
Short term investments 126.000 K 0.000 0.000 -100.00 % 5.256 M -21.07 % 6.659 M -17.44 % 8.066 M 0.49 % 8.027 M 23.26 % 6.512 M 30.24 % 5.000 M 0.000 0.000 0.000 0.000 0.000 0.000
cash and cash equivalents 10.912 M 27.18 % 8.580 M -27.70 % 11.868 M 44.34 % 8.222 M -33.90 % 12.439 M 95.27 % 6.370 M -13.10 % 7.330 M 2.79 % 7.131 M -7.00 % 7.668 M 69.98 % 4.511 M 23.13 % 3.664 M 97.82 % 1.852 M 136.10 % 784.450 K 121.01 % 354.933 K 2.17 % 347.383 K
Cash and short term investments 10.912 M 27.18 % 8.580 M -27.70 % 11.868 M -11.95 % 13.478 M -29.43 % 19.098 M 32.29 % 14.436 M -6.00 % 15.357 M 12.56 % 13.643 M 7.70 % 12.668 M 180.81 % 4.511 M 23.13 % 3.664 M 97.82 % 1.852 M 136.10 % 784.450 K 121.01 % 354.933 K 2.17 % 347.383 K
Total current assets 22.623 M 20.53 % 18.770 M -10.69 % 21.016 M -4.62 % 22.033 M -11.78 % 24.976 M 13.51 % 22.003 M 3.05 % 21.352 M 23.81 % 17.246 M 10.57 % 15.598 M 97.83 % 7.885 M 10.58 % 7.130 M 54.14 % 4.626 M 34.38 % 3.442 M 9.92 % 3.132 M -8.66 % 3.429 M
Inventory 5.358 M -11.96 % 6.086 M 13.27 % 5.373 M 40.03 % 3.837 M 39.63 % 2.748 M 79.37 % 1.532 M 53.51 % 998.000 K -16.06 % 1.189 M 7.02 % 1.111 M -9.34 % 1.226 M 27.88 % 958.334 K 23.95 % 773.151 K -1.56 % 785.399 K -17.19 % 948.386 K 38.65 % 683.991 K
Net receivables 5.669 M 118.96 % 2.589 M -11.40 % 2.922 M -37.51 % 4.676 M 49.39 % 3.130 M -48.14 % 6.035 M 37.19 % 4.399 M 82.23 % 2.414 M 32.71 % 1.819 M -15.31 % 2.148 M 10.38 % 1.946 M 14.16 % 1.705 M 0.000 -100.00 % 1.131 M -34.05 % 1.715 M
Tax assets 299.000 K -43.90 % 533.000 K -57.22 % 1.246 M 80.32 % 691.000 K 154.04 % 272.000 K -10.53 % 304.000 K 0.00 % 304.000 K -58.36 % 730.000 K 19.09 % 613.000 K 144.73 % 250.479 K -54.77 % 553.797 K 9.23 % 506.988 K 23.18 % 411.586 K 0.000 0.000
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
Account payables 987.000 K 146.75 % 400.000 K -56.19 % 913.000 K -55.20 % 2.038 M 15.14 % 1.770 M -19.69 % 2.204 M 138.53 % 924.000 K 4.52 % 884.000 K -6.36 % 944.000 K 3.83 % 909.186 K -8.99 % 999.000 K 42.65 % 700.324 K 0.41 % 697.497 K -21.90 % 893.041 K 19.23 % 749.026 K
Tax payables 226.000 K 0.000 -100.00 % 211.000 K -2.76 % 217.000 K -74.26 % 843.000 K 360.66 % 183.000 K 22.82 % 149.000 K 13.74 % 131.000 K 3.97 % 126.000 K 12.95 % 111.554 K 11.77 % 99.806 K 1.66 % 98.180 K -35.53 % 152.292 K 0.000 0.000
Deferred revenue non current 1.411 M -28.59 % 1.976 M 30.86 % 1.510 M 37.77 % 1.096 M -6.00 % 1.166 M -40.66 % 1.965 M 173.68 % 718.000 K -17.28 % 868.000 K 15.89 % 749.000 K 115.15 % 348.125 K -37.31 % 555.346 K 19.71 % 463.921 K 2.08 % 454.478 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 0.000 0.000 0.000 0.000 0.000 0.000
Capital lease obligations 1.217 M 344.16 % 274.000 K -33.98 % 415.000 K -24.68 % 551.000 K -20.26 % 691.000 K -8.84 % 758.000 K -11.55 % 857.000 K 44.76 % 592.000 K 4.59 % 566.000 K -10.28 % 630.847 K -6.68 % 676.000 K 625.67 % 93.155 K -57.81 % 220.781 K 0.000 0.000
Preferred stock 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 -100.00 % 5.043 M 0.000 0.000 0.000
Other total stockholders equity 7.671 M 2.13 % 7.511 M 0.00 % 7.511 M 0.21 % 7.495 M 0.00 % 7.495 M 0.00 % 7.495 M 0.15 % 7.484 M 0.00 % 7.484 M 0.00 % 7.484 M 189.82 % 2.582 M 114.11 % 1.206 M 5.98 % 1.138 M -1.16 % 1.151 M 10.42 % 1.043 M 0.00 % 1.043 M
Deferred tax liabilities non current 2.940 M 17.74 % 2.497 M -13.21 % 2.877 M 8.04 % 2.663 M 8.38 % 2.457 M 9.05 % 2.253 M 11.70 % 2.017 M 22.24 % 1.650 M 24.91 % 1.321 M 4.83 % 1.260 M 6.04 % 1.188 M 21.33 % 979.397 K 12.35 % 871.716 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 0.000 0.000 0.000 0.000 0.000 0.000
Total assets 38.479 M 12.43 % 34.226 M -7.50 % 37.000 M 0.72 % 36.735 M -5.20 % 38.750 M 10.43 % 35.091 M 12.67 % 31.145 M 16.84 % 26.657 M 9.79 % 24.280 M 54.01 % 15.765 M 4.11 % 15.143 M 29.66 % 11.679 M 20.66 % 9.679 M 36.14 % 7.110 M 4.79 % 6.785 M
2025-03-31 2024-09-30 2024-03-31 2023-09-30 2023-03-31 2022-09-30 2022-03-31 2021-09-30 2021-03-31 2020-09-30 2020-03-31 2019-03-31 2018-03-31 2017-03-31 2016-03-31
2025-03-31 2024-09-30 2024-03-31 2023-09-30 2023-03-31 2022-09-30 2022-03-31 2021-09-30 2021-03-31 2020-09-30 2020-03-31 2019-09-30
Deferred income tax 0.000 0.000 0.000 100.00 % -8.205 M -146.10 % -3.334 M 40.74 % -5.626 M -23.24 % -4.565 M -15.48 % -3.953 M -824.39 % -427.634 K 87.57 % -3.440 M -3 307.02 % 107.276 K -22.67 % 138.724 K
Stock based compensation 32.000 K -92.00 % 400.000 K 35.14 % 296.000 K -34.22 % 450.000 K 56.25 % 288.000 K 0.70 % 286.000 K 82.17 % 157.000 K 49.52 % 105.000 K 36.36 % 77.000 K -61.11 % 198.000 K 625.57 % 27.289 K -1.52 % 27.711 K
Change in working capital -2.143 M -259.56 % -596.000 K -137.45 % -251.000 K 92.36 % -3.284 M -482.75 % 858.000 K 161.99 % -1.384 M -64.37 % -842.000 K -15.03 % -732.000 K -129.49 % 2.482 M 534.53 % -571.246 K -136.21 % -241.841 K 20.75 % -305.159 K
Accounts receivables -2.720 M -804.66 % 386.000 K -71.09 % 1.335 M 186.35 % -1.546 M -157.84 % 2.673 M 353.61 % -1.054 M 52.52 % -2.220 M -273.11 % -595.000 K -187.86 % 677.196 K 380.95 % 140.804 K 361.18 % -53.910 K 82.15 % -302.090 K
Inventory 577.000 K 158.76 % -982.000 K 38.08 % -1.586 M -28.53 % -1.234 M -25.28 % -985.000 K -73.11 % -569.000 K -2 376.00 % 25.000 K 139.68 % -63.000 K -135.35 % 178.211 K 150.03 % -356.211 K -89.54 % -187.931 K -6 023.53 % -3.069 K
Accounts payables 0.000 100.00 % -1.020 M -301.57 % -254.000 K 60.86 % -649.000 K -14.26 % -568.000 K -337.66 % 239.000 K -80.13 % 1.203 M 1 725.68 % -74.000 K -104.55 % 1.627 M 557.18 % -355.839 K 0.000 0.000
Other working capital 0.000 -100.00 % 268.000 K 5.51 % 254.000 K 75.17 % 145.000 K 155.34 % -262.000 K 0.000 -100.00 % 150.000 K 0.000 0.000 0.000 0.000 0.000
Other non cash items 3.114 M 354.00 % -1.226 M -8.11 % -1.134 M -116.21 % 6.997 M 91.59 % 3.652 M -44.32 % 6.559 M 30.71 % 5.018 M 15.20 % 4.356 M 520.08 % 702.487 K -81.63 % 3.824 M 270.58 % 1.032 M 481.06 % -270.765 K
Net cash provided by operating activities 4.860 M 11 202.59 % 42.999 K -97.38 % 1.641 M 172.77 % -2.255 M -132.09 % 7.028 M 65.64 % 4.243 M 0.55 % 4.220 M 34.82 % 3.130 M -49.99 % 6.259 M 124.36 % 2.790 M -32.23 % 4.116 M 192.24 % 1.409 M
Investments in property plant and equipment -8.000 K 60.00 % -20.000 K -433.33 % 6.000 K 100.22 % -2.671 M -11.62 % -2.393 M -3.55 % -2.311 M -7.24 % -2.155 M -4.71 % -2.058 M -10.92 % -1.855 M -24.80 % -1.487 M -6 019.25 % -24.295 K -325.85 % -5.705 K
Acquisitions net 0.000 0.000 0.000 0.000 0.000 100.00 % -2.263 M 0.000 0.000 0.000 0.000 0.000 0.000
Purchases of investments 0.000 0.000 0.000 0.000 100.00 % -15.000 K 0.000 100.00 % -1.500 M 0.000 0.000 0.000 0.000 0.000
Sales maturities of investments 0.000 0.000 0.000 -100.00 % 1.515 M 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Other investing activites -2.244 M 14.35 % -2.620 M 13.93 % -3.044 M -250.29 % -869.000 K 59.22 % -2.131 M 5.16 % -2.247 M 35.96 % -3.509 M -84.30 % -1.904 M -3.03 % -1.848 M -24.53 % -1.484 M -2.37 % -1.450 M 0.80 % -1.461 M
Net cash used for investing activites -2.252 M 14.70 % -2.640 M 13.10 % -3.038 M -162.80 % -1.156 M 51.99 % -2.408 M 47.35 % -4.574 M -25.14 % -3.655 M -77.60 % -2.058 M -10.92 % -1.855 M -24.80 % -1.487 M -0.87 % -1.474 M -0.47 % -1.467 M
Debt repayment 0.000 100.00 % -149.000 K 0.000 0.000 0.000 100.00 % -111.000 K 0.000 100.00 % -97.000 K 0.000 100.00 % -340.034 K 0.000 100.00 % -195.187 K
Common stock issued 161.000 K 0.000 -100.00 % 16.000 K 0.000 0.000 -100.00 % 11.000 K 0.000 0.000 -100.00 % 6.328 M 0.000 0.000 0.000
Common stock repurchased 0.000 0.000 0.000 0.000 0.000 -100.00 % 100.000 K 0.000 0.000 0.000 0.000 0.000 0.000
Dividends paid -272.000 K 49.82 % -542.000 K -100.00 % -271.000 K 50.09 % -543.000 K -100.37 % -271.000 K 44.69 % -490.000 K -100.00 % -245.000 K 0.000 0.000 0.000 0.000 0.000
Other financing activites -165.000 K 0.000 100.00 % -129.000 K 14.57 % -151.000 K -150.67 % 298.000 K 2 609.09 % 11.000 K 110.38 % -106.000 K 0.000 100.00 % -2.640 M -5 087.81 % -50.890 K 89.64 % -491.320 K -325.41 % -115.493 K
Net cash used provided by financing activities -276.000 K 60.06 % -691.000 K -72.75 % -400.000 K 42.36 % -694.000 K -2 670.37 % 27.000 K 104.58 % -590.000 K -68.09 % -351.000 K -261.86 % -97.000 K -102.63 % 3.688 M 1 043.39 % -390.924 K 20.43 % -491.320 K -58.14 % -310.680 K
Effect of forex changes on cash -126.000 K -205.00 % 120.000 K 0.000 -100.00 % 17.583 M 200.00 % -17.583 M -226.89 % 13.857 M 200.00 % -13.857 M -209.39 % 12.668 M 200.52 % -12.603 M -450.19 % 3.599 M 245 417.79 % -1.467 K -104.66 % 31.467 K
Net change in cash 2.206 M 169.63 % -3.168 M -83.12 % -1.730 M 58.98 % -4.217 M -169.48 % 6.069 M 732.19 % -960.000 K -582.41 % 199.000 K 137.06 % -537.000 K -117.01 % 3.157 M -30.02 % 4.511 M 1 126.41 % -439.492 K -160.26 % -168.867 K
Cash at beginning of period 8.580 M -26.97 % 11.748 M -12.84 % 13.478 M 8.35 % 12.439 M 95.27 % 6.370 M -13.10 % 7.330 M 2.79 % 7.131 M -7.00 % 7.668 M 69.98 % 4.511 M 2 289 847.72 % 197.000 -99.99 % 1.514 M -10.03 % 1.683 M
Cash at end of period 10.786 M 25.71 % 8.580 M -26.97 % 11.748 M 42.88 % 8.222 M -33.90 % 12.439 M 95.27 % 6.370 M -13.10 % 7.330 M 2.79 % 7.131 M -7.00 % 7.668 M 69.98 % 4.511 M 319.70 % 1.075 M -29.02 % 1.514 M
Operating cash flow 4.702 M 4 051.26 % -119.000 K -107.25 % 1.641 M 172.77 % -2.255 M -132.09 % 7.028 M 65.64 % 4.243 M 0.55 % 4.220 M 34.82 % 3.130 M -49.99 % 6.259 M 124.36 % 2.790 M -32.23 % 4.116 M 192.24 % 1.409 M
Capital expenditure -8.000 K 60.00 % -20.000 K -433.33 % 6.000 K 100.22 % -2.671 M -11.62 % -2.393 M -3.55 % -2.311 M -7.24 % -2.155 M -4.71 % -2.058 M -10.92 % -1.855 M -24.80 % -1.487 M -6 019.25 % -24.295 K -325.85 % -5.705 K
Free CashFlow 4.694 M 3 476.98 % -139.000 K -108.44 % 1.647 M 133.43 % -4.926 M -206.28 % 4.635 M 139.91 % 1.932 M -6.44 % 2.065 M 92.63 % 1.072 M -75.66 % 4.404 M 237.95 % 1.303 M -68.16 % 4.092 M 191.70 % 1.403 M
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