EPOW

Sunrise New Energy Co., Ltd. EPOW

Finances

2024 2023 2022 2021 2020 2019 2018 2017
Revenue 64.998 M 44.28 % 45.050 M 18.16 % 38.126 M 414.57 % 7.409 M -68.04 % 23.181 M 29.32 % 17.925 M 32.40 % 13.539 M 491.96 % 2.287 M
Net income -11.776 M 51.40 % -24.233 M -7.05 % -22.637 M -169.38 % -8.403 M -169.52 % 12.088 M 24.02 % 9.746 M 30.35 % 7.477 M 1 208.24 % -674.679 K
Income before tax -17.976 M 45.40 % -32.921 M -47.53 % -22.315 M -149.31 % -8.951 M -159.62 % 15.012 M 36.85 % 10.970 M 24.50 % 8.811 M 1 175.58 % -819.177 K
Income before tax ratio -0.28 62.15 % -0.73 -24.85 % -0.59 51.55 % -1.21 -286.54 % 0.65 5.82 % 0.61 -5.96 % 0.65 281.70 % -0.36
EBITDA -10.238 M 61.32 % -26.467 M -32.25 % -20.013 M -154.23 % -7.872 M -149.35 % 15.951 M 41.55 % 11.268 M 29.23 % 8.720 M 1 167.36 % -816.973 K
Net income ratio -0.18 66.32 % -0.54 9.40 % -0.59 47.65 % -1.13 -317.50 % 0.52 -4.10 % 0.54 -1.55 % 0.55 287.22 % -0.29
Ratio EBITDA -0.16 73.19 % -0.59 -11.92 % -0.52 50.59 % -1.06 -254.40 % 0.69 9.46 % 0.63 -2.40 % 0.64 280.31 % -0.36
Gross profit ratio -0.09 67.60 % -0.28 -677.32 % -0.04 -107.45 % 0.48 -45.44 % 0.87 -1.23 % 0.88 -3.64 % 0.92 38.98 % 0.66
Weighted average shs out dil 26.567 M 3.69 % 25.622 M 3.23 % 24.820 M 5.00 % 23.639 M 1.72 % 23.240 M 38.33 % 16.800 M 0.00 % 16.800 M -28.57 % 23.520 M
Weighted average shs out 26.567 M 3.69 % 25.622 M 3.23 % 24.820 M 5.00 % 23.639 M 1.72 % 23.240 M 38.33 % 16.800 M 0.00 % 16.800 M -27.71 % 23.240 M
EPS diluted -0.45 52.63 % -0.95 -4.40 % -0.91 -152.78 % -0.36 -169.23 % 0.52 -10.34 % 0.58 28.89 % 0.45 1 667.94 % -0.03
Earnings per share -0.45 58.33 % -1.08 -18.68 % -0.91 -152.78 % -0.36 -169.23 % 0.52 23.81 % 0.42 -6.67 % 0.45 1 651.72 % -0.03
Gross profit -5.798 M 53.26 % -12.403 M -818.50 % -1.350 M -138.33 % 3.523 M -82.56 % 20.201 M 27.73 % 15.816 M 27.58 % 12.396 M 722.69 % 1.507 M
Income tax expense 5.563 K 2 561.50 % -226.000 -100.03 % 808.970 K 441.94 % -236.581 K -107.74 % 3.055 M 92.25 % 1.589 M 37.17 % 1.158 M 875.17 % -149.447 K
Cost of revenue 70.795 M 23.22 % 57.454 M 45.54 % 39.476 M 915.68 % 3.887 M 30.42 % 2.980 M 41.27 % 2.110 M 84.64 % 1.143 M 46.42 % 780.341 K
General and administrative expenses 7.392 M -43.32 % 13.040 M 2.85 % 12.679 M 61.84 % 7.834 M 101.03 % 3.897 M 34.52 % 2.897 M 65.62 % 1.749 M 34.14 % 1.304 M
Selling and marketing expenses 899.760 K 21.23 % 742.167 K -31.02 % 1.076 M 13.65 % 946.775 K 4.45 % 906.456 K -32.90 % 1.351 M 5.32 % 1.283 M 65.82 % 773.544 K
Other expenses 0.000 -100.00 % 3.151 M 18.92 % 2.650 M 0.000 0.000 0.000 0.000 -100.00 % 1.077 K
Operating expenses 10.799 M -40.43 % 18.127 M 3.83 % 17.459 M 59.69 % 10.933 M 99.69 % 5.475 M 8.55 % 5.044 M 35.28 % 3.728 M 59.80 % 2.333 M
Cost and expenses 81.594 M 7.96 % 75.580 M 32.75 % 56.935 M 284.19 % 14.819 M 75.27 % 8.455 M 18.20 % 7.153 M 46.86 % 4.871 M 56.44 % 3.113 M
Research and development expenses 2.507 M 110.16 % 1.193 M 13.21 % 1.054 M -51.02 % 2.152 M 220.50 % 671.312 K -15.62 % 795.540 K 19.56 % 665.378 K 160.50 % 255.424 K
Selling general and administrative expenses 8.291 M -39.84 % 13.782 M 0.20 % 13.755 M 56.64 % 8.781 M 82.81 % 4.803 M 13.08 % 4.248 M 40.11 % 3.032 M 45.93 % 2.078 M
Interest income 0.000 0.000 0.000 -100.00 % 173.173 K -19.25 % 214.460 K 1.02 % 212.285 K 48.85 % 142.612 K 78.29 % 79.988 K
Interest expense 2.019 M -6.63 % 2.162 M 7 870.03 % 27.128 K 0.000 0.000 0.000 0.000 0.000
Depreciation and amortization 5.719 M 33.24 % 4.292 M 88.61 % 2.276 M 110.90 % 1.079 M -11.92 % 1.225 M 146.89 % 496.165 K 2 276.04 % 20.882 K 126.61 % 9.215 K
Operating income -16.596 M 39.38 % -27.379 M -45.56 % -18.809 M -153.83 % -7.410 M -150.32 % 14.726 M 36.70 % 10.772 M 23.83 % 8.699 M 1 152.92 % -826.188 K
Operating income ratio -0.26 57.99 % -0.61 -23.19 % -0.49 50.67 % -1.00 -257.43 % 0.64 5.71 % 0.60 -6.47 % 0.64 277.87 % -0.36
Total other income expenses net -1.379 M 75.11 % -5.542 M -58.07 % -3.506 M -127.55 % -1.541 M -638.38 % 286.210 K 44.88 % 197.555 K 76.71 % 111.799 K 1 494.62 % 7.011 K
2024 2023 2022 2021 2020 2019 2018 2017
2024 2023 2022 2021 2020 2019 2018 2017
Net debt 49.235 M 86.64 % 26.380 M 225.43 % 8.106 M 158.67 % -13.817 M -26.76 % -10.900 M -20.16 % -9.071 M 22.20 % -11.658 M -81.30 % -6.430 M
Total investments 2.008 M 6.81 % 1.880 M -70.42 % 6.356 M -56.75 % 14.694 M 376.27 % 3.085 M 430.04 % 582.080 K -19.40 % 722.166 K 56.51 % 461.418 K
Total debt 50.500 M 81.81 % 27.776 M 124.00 % 12.400 M 12 354.02 % 99.569 K 49.73 % 66.497 K -81.96 % 368.581 K 0.000 0.000
Accumulated other comprehensive income loss -99.204 K -120.29 % 488.853 K -56.45 % 1.123 M -75.72 % 4.623 M 18.17 % 3.912 M 277.37 % 1.037 M 228.30 % 315.760 K 200.97 % 104.913 K
Retained earnings -42.243 M -38.65 % -30.467 M -388.69 % -6.234 M -136.12 % 17.260 M -32.74 % 25.663 M 78.06 % 14.413 M 128.67 % 6.303 M 635.49 % -1.177 M
Common stock 2.698 K 3.21 % 2.614 K 3.08 % 2.536 K 3.38 % 2.453 K 46.01 % 1.680 K 0.00 % 1.680 K 0.00 % 1.680 K -40.00 % 2.800 K
Total equity 27.295 M -39.79 % 45.332 M -38.21 % 73.362 M 28.76 % 56.974 M 66.83 % 34.150 M 70.78 % 19.997 M 87.57 % 10.661 M 243.68 % 3.102 M
Other non current liabilities 1.339 M -50.48 % 2.704 M -19.51 % 3.359 M 0.000 0.000 0.000 0.000 0.000
Long term debt 27.443 M 212.37 % 8.785 M 115.39 % 4.079 M 0.000 -100.00 % 3.196 K -96.95 % 104.785 K 0.000 0.000
Total non current liabilities 28.972 M 147.95 % 11.684 M 52.99 % 7.637 M 0.000 -100.00 % 3.195 K -96.95 % 104.785 K 0.000 0.000
Other current liabilities 8.390 M -11.06 % 9.434 M 122.45 % 4.241 M 1 733.21 % 231.333 K -50.35 % 465.884 K -65.18 % 1.338 M 77.31 % 754.648 K 356.63 % 165.265 K
Deferred revenue 4.859 M 604.03 % 690.164 K -0.65 % 694.702 K 287.22 % 179.407 K -28.33 % 250.309 K -57.10 % 583.520 K -72.93 % 2.156 M -53.60 % 4.646 M
Short term debt 23.056 M 21.41 % 18.991 M 128.21 % 8.322 M 4 078.76 % 199.138 K 57.30 % 126.601 K -52.01 % 263.796 K 0.000 0.000
Total current liabilities 86.757 M 36.65 % 63.488 M 143.97 % 26.023 M 1 412.22 % 1.721 M -69.18 % 5.583 M -18.68 % 6.866 M 90.43 % 3.606 M -25.49 % 4.839 M
Total liabilities 115.728 M 53.95 % 75.173 M 123.32 % 33.661 M 1 856.02 % 1.721 M -69.20 % 5.587 M -19.86 % 6.971 M 93.34 % 3.606 M -25.49 % 4.839 M
Other non current assets 1.874 M 22.90 % 1.524 M -84.90 % 10.098 M 44.45 % 6.990 M 1 077.56 % 593.611 K 44.90 % 409.676 K 180.87 % -506.585 K -4 931.98 % 10.484 K
Long term investments 2.008 M 6.81 % 1.880 M -37.73 % 3.019 M -62.64 % 8.082 M 161.94 % 3.085 M 430.04 % 582.080 K 35.13 % 430.757 K -6.64 % 461.418 K
Intangible assets 9.270 M -4.97 % 9.755 M 146.16 % 3.963 M 10.23 % 3.595 M -16.28 % 4.294 M -9.54 % 4.747 M 686.45 % 603.542 K 0.000
GoodWill 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Goodwill and intangible assets 9.270 M -4.97 % 9.755 M 146.16 % 3.963 M 10.23 % 3.595 M -16.28 % 4.294 M -9.54 % 4.747 M 953.58 % 450.516 K 4 397.18 % -10.484 K
Property plant equipment net 66.861 M -6.53 % 71.530 M 57.88 % 45.305 M 829.53 % 4.874 M 39.36 % 3.497 M 91.93 % 1.822 M 2 303.03 % 75.828 K 51.06 % 50.196 K
Total non current assets 80.012 M -5.52 % 84.689 M 35.75 % 62.385 M 155.75 % 24.393 M 102.05 % 12.073 M 54.48 % 7.815 M 1 442.69 % 506.585 K -31.35 % 737.931 K
Other current assets 11.535 M 93.44 % 5.963 M -62.47 % 15.889 M 390.94 % 3.237 M 140.85 % 1.344 M 179.77 % 480.308 K -59.54 % 1.187 M 2 314.91 % 49.162 K
Short term investments 0.000 -100.00 % 2.225 M -33.32 % 3.336 M -44.04 % 5.962 M 0.000 0.000 -100.00 % 291.409 K 0.000
cash and cash equivalents 1.264 M -9.42 % 1.396 M -67.49 % 4.294 M -69.14 % 13.916 M 26.90 % 10.966 M 16.18 % 9.439 M -19.04 % 11.658 M 81.30 % 6.430 M
Cash and short term investments 1.264 M -65.08 % 3.621 M -27.47 % 4.992 M -74.89 % 19.878 M 81.27 % 10.966 M 16.18 % 9.439 M -21.01 % 11.950 M 85.83 % 6.430 M
Total current assets 63.011 M 75.93 % 35.816 M -19.76 % 44.638 M 30.13 % 34.302 M 24.00 % 27.664 M 44.44 % 19.153 M 39.76 % 13.704 M 90.25 % 7.203 M
Inventory 17.660 M 11.47 % 15.844 M -13.57 % 18.331 M 490.23 % 3.106 M 14.73 % 2.707 M -17.66 % 3.287 M 0.000 -100.00 % 10.484 K
Net receivables 32.551 M 213.33 % 10.389 M 91.46 % 5.426 M -32.87 % 8.082 M -36.09 % 12.647 M 112.70 % 5.946 M 885.18 % 603.542 K -3.33 % 624.306 K
Tax assets 0.000 0.000 0.000 -100.00 % 852.037 K 41.35 % 602.806 K 136.81 % 254.552 K 354.00 % 56.069 K -75.23 % 226.317 K
Other assets 0.000 0.000 0.000 0.000 0.000 0.000 -100.00 % 56.069 K 0.000
Account payables 49.960 M 47.49 % 33.873 M 176.29 % 12.260 M 35 450.00 % 34.486 K 2.34 % 33.697 K -98.80 % 2.815 M 7 303.50 % 38.018 K 178.44 % 13.654 K
Tax payables 491.745 K -1.92 % 501.372 K -1.04 % 506.638 K -52.94 % 1.077 M -77.13 % 4.707 M 152.21 % 1.866 M 183.88 % 657.427 K 4 378.08 % 14.681 K
Deferred revenue non current 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Minority interest 37.559 M -12.01 % 42.687 M -4.46 % 44.681 M 1 331.06 % 3.122 M 2 709.04 % 111.150 K -45.25 % 203.013 K -38.72 % 331.277 K 657.48 % 43.734 K
Capital lease obligations 5.868 M 19.60 % 4.906 M 0.000 -100.00 % 99.569 K 49.73 % 66.497 K -81.96 % 368.581 K 0.000 0.000
Preferred stock 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Other total stockholders equity 32.076 M -1.67 % 32.621 M -3.46 % 33.790 M 5.70 % 31.967 M 616.40 % 4.462 M 2.76 % 4.342 M 0.00 % 4.342 M 5.20 % 4.128 M
Deferred tax liabilities non current 189.551 K -2.96 % 195.327 K -2.13 % 199.583 K 0.000 0.000 0.000 0.000 0.000
Other liabilities 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Total assets 143.023 M 18.69 % 120.505 M 12.60 % 107.022 M 82.34 % 58.695 M 47.71 % 39.737 M 47.35 % 26.968 M 89.03 % 14.266 M 79.65 % 7.941 M
2024 2023 2022 2021 2020 2019 2018 2017
2024 2023 2022 2021 2020 2019 2018 2017
Deferred income tax -446.000 1.76 % -454.000 -100.06 % 807.412 K 447.48 % -232.363 K 25.71 % -312.780 K -55.12 % -201.638 K -221.97 % 165.321 K 205.23 % -157.103 K
Stock based compensation 972.743 K -54.67 % 2.146 M -21.40 % 2.730 M 0.000 0.000 0.000 0.000 0.000
Change in working capital 1.896 M 169.61 % -2.724 M 67.89 % -8.484 M -154.66 % -3.331 M 55.86 % -7.547 M 12.38 % -8.614 M -1 301.46 % -614.666 K -117.06 % 3.604 M
Accounts receivables -22.388 M -422.73 % -4.283 M -42.28 % -3.010 M -263.66 % 1.839 M 121.54 % -8.537 M -27.73 % -6.683 M -987.33 % -614.666 K -5 319.86 % -11.341 K
Inventory -6.241 M -22.49 % -5.095 M 72.82 % -18.748 M -5 555.59 % -331.491 K -149.64 % 667.758 K 181.06 % -823.817 K -169.91 % 1.178 M 356.94 % -458.606 K
Accounts payables 17.838 M 190.84 % 6.133 M -51.56 % 12.662 M 0.000 100.00 % -79.426 K -208.11 % 73.465 K 183.13 % 25.947 K 34 040.79 % 76.000
Other working capital 12.687 M 2 333.72 % 521.319 K -14.85 % 612.219 K 112.65 % -4.839 M -1 306.58 % 401.055 K 133.97 % -1.180 M 1.98 % -1.204 M -129.56 % 4.074 M
Other non cash items 4.042 M -69.46 % 13.236 M -15.88 % 15.734 M 178.24 % 5.655 M 250.39 % 1.614 M 946.85 % -190.572 K 89.01 % -1.734 M -2 294.92 % 79.003 K
Net cash provided by operating activities -5.352 M 26.51 % -7.283 M 23.92 % -9.573 M -82.94 % -5.233 M -174.06 % 7.066 M 471.66 % 1.236 M -78.55 % 5.764 M 101.50 % 2.860 M
Investments in property plant and equipment -2.465 M 65.56 % -7.158 M 83.76 % -44.087 M -429.91 % -8.320 M -86.58 % -4.459 M -25.64 % -3.549 M -7 003.14 % -49.962 K -19.92 % -41.663 K
Acquisitions net 0.000 0.000 -100.00 % 37.025 M 1 014.08 % 3.323 M 2 660.51 % 120.388 K -49.50 % 238.388 K 87.52 % 127.129 K 234.85 % 37.966 K
Purchases of investments 0.000 0.000 0.000 100.00 % -10.941 M -551.82 % -1.679 M -811.75 % -184.098 K 41.29 % -313.568 K -108.59 % -150.330 K
Sales maturities of investments 3.081 M 250.88 % 878.000 K 0.000 0.000 -100.00 % 4.642 M 1 501.15 % 289.918 K 55.50 % 186.439 K 65.92 % 112.364 K
Other investing activites 16.677 K 102.31 % -723.072 K 98.12 % -38.547 M -525.97 % -6.158 M -23.39 % -4.990 M -5 966.11 % -82.268 K 73.76 % -313.568 K -725.92 % -37.966 K
Net cash used for investing activites 632.461 K 109.03 % -7.003 M 84.65 % -45.609 M -106.42 % -22.095 M -247.11 % -6.366 M -93.66 % -3.287 M -804.17 % -363.530 K -89.35 % -191.993 K
Debt repayment 11.952 M -11.67 % 13.531 M 6.13 % 12.750 M 0.000 0.000 0.000 0.000 0.000
Common stock issued 0.000 0.000 0.000 -100.00 % 27.505 M 0.000 0.000 -100.00 % 340.647 K -85.56 % 2.358 M
Common stock repurchased 0.000 0.000 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 0.000 0.000
Other financing activites -1.321 M -991.95 % 148.078 K -99.55 % 33.010 M 890.52 % 3.333 M 2 677.28 % 119.996 K -49.61 % 238.128 K -30.10 % 340.647 K -85.56 % 2.358 M
Net cash used provided by financing activities 10.632 M -22.28 % 13.679 M -70.11 % 45.760 M 48.39 % 30.837 M 25 598.57 % 119.996 K -49.61 % 238.128 K -30.10 % 340.647 K -85.56 % 2.358 M
Effect of forex changes on cash -172.056 K -158.39 % -66.587 K 92.60 % -899.786 K -736.69 % 141.322 K -79.99 % 706.302 K 519.63 % -168.316 K 67.20 % -513.163 K -286.78 % 274.749 K
Net change in cash 5.740 M 952.44 % -673.350 K 93.48 % -10.322 M -382.78 % 3.650 M 139.06 % 1.527 M 168.81 % -2.219 M -142.45 % 5.228 M -1.39 % 5.302 M
Cash at beginning of period 3.621 M -15.68 % 4.294 M -69.14 % 13.916 M 26.90 % 10.966 M 16.18 % 9.439 M -19.04 % 11.658 M 81.30 % 6.430 M 469.61 % 1.129 M
Cash at end of period 1.264 M -65.08 % 3.621 M -15.68 % 4.294 M -69.14 % 13.916 M 26.90 % 10.966 M 16.18 % 9.439 M -19.04 % 11.658 M 81.30 % 6.430 M
Operating cash flow -5.352 M 26.51 % -7.283 M 46.40 % -13.588 M -159.64 % -5.233 M -176.53 % 6.838 M 453.18 % 1.236 M -78.55 % 5.764 M 101.50 % 2.860 M
Capital expenditure -2.465 M 65.56 % -7.158 M 83.76 % -44.087 M -429.91 % -8.320 M -86.58 % -4.459 M -25.64 % -3.549 M -7 003.14 % -49.962 K -19.92 % -41.663 K
Free CashFlow -7.817 M 45.87 % -14.441 M 74.96 % -57.674 M -325.55 % -13.553 M -669.75 % 2.379 M 202.85 % -2.313 M -140.48 % 5.714 M 102.71 % 2.819 M
2024 2023 2022 2021 2020 2019 2018 2017
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
Revenue 42.715 M 91.69 % 22.283 M -8.46 % 24.342 M 17.55 % 20.708 M -25.67 % 27.861 M 171.41 % 10.265 M 421.78 % 1.967 M -63.85 % 5.442 M -67.36 % 16.675 M 156.28 % 6.506 M -46.34 % 12.126 M 109.11 % 5.799 M -25.14 % 7.747 M 33.75 % 5.792 M 406.50 % 1.144 M 0.00 % 1.144 M
Net income -7.325 M -64.55 % -4.451 M 77.20 % -19.523 M -314.59 % -4.709 M 68.85 % -15.118 M -101.08 % -7.519 M -7.22 % -7.012 M -404.21 % -1.391 M -114.20 % 9.796 M 327.39 % 2.292 M -69.44 % 7.500 M 233.91 % 2.246 M -47.85 % 4.307 M 35.89 % 3.170 M 1 039.61 % -337.340 K 0.00 % -337.340 K
Income before tax -11.955 M -98.55 % -6.021 M 77.78 % -27.094 M -365.20 % -5.824 M 63.50 % -15.955 M -150.86 % -6.360 M 8.65 % -6.962 M -250.07 % -1.989 M -115.88 % 12.522 M 402.88 % 2.490 M -70.34 % 8.395 M 225.96 % 2.575 M -50.56 % 5.209 M 44.61 % 3.602 M 979.44 % -409.589 K 0.00 % -409.589 K
Income before tax ratio -0.28 -3.58 % -0.27 75.72 % -1.11 -295.76 % -0.28 50.89 % -0.57 7.57 % -0.62 82.49 % -3.54 -868.37 % -0.37 -148.66 % 0.75 96.23 % 0.38 -44.72 % 0.69 55.88 % 0.44 -33.95 % 0.67 8.12 % 0.62 273.63 % -0.36 0.00 % -0.36
EBITDA -7.834 M -224.92 % -2.411 M 89.37 % -22.683 M -499.91 % -3.781 M 73.68 % -14.367 M -227.73 % -4.384 M 22.27 % -5.640 M -621.85 % -781.324 K -105.92 % 13.192 M 355.45 % 2.896 M -65.86 % 8.484 M 245.42 % 2.456 M -52.55 % 5.176 M 46.07 % 3.544 M 965.34 % -409.518 K -0.51 % -407.456 K
Net income ratio -0.17 14.16 % -0.20 75.09 % -0.80 -252.70 % -0.23 58.09 % -0.54 25.91 % -0.73 79.45 % -3.56 -1 294.73 % -0.26 -143.50 % 0.59 66.77 % 0.35 -43.05 % 0.62 59.68 % 0.39 -30.34 % 0.56 1.61 % 0.55 285.51 % -0.29 0.00 % -0.29
Ratio EBITDA -0.18 -69.50 % -0.11 88.39 % -0.93 -410.36 % -0.18 64.59 % -0.52 -20.75 % -0.43 85.10 % -2.87 -1 896.78 % -0.14 -118.15 % 0.79 77.72 % 0.45 -36.37 % 0.70 65.19 % 0.42 -36.61 % 0.67 9.21 % 0.61 270.85 % -0.36 -0.51 % -0.36
Gross profit ratio -0.14 -17 545.11 % 0.00 100.15 % -0.53 -1 888.84 % 0.03 134.96 % -0.09 -185.01 % 0.10 -76.42 % 0.43 -13.43 % 0.49 -45.48 % 0.90 14.85 % 0.79 -13.53 % 0.91 10.60 % 0.82 -11.43 % 0.93 3.63 % 0.90 36.15 % 0.66 0.00 % 0.66
Weighted average shs out dil 26.567 M 1.63 % 26.141 M 1.00 % 25.883 M 2.06 % 25.362 M 1.58 % 24.968 M 1.80 % 24.528 M 0.00 % 24.528 M 0.00 % 24.528 M 5.54 % 23.240 M 0.00 % 23.240 M 38.33 % 16.800 M 0.00 % 16.800 M -0.27 % 16.845 M 0.53 % 16.755 M -28.76 % 23.520 M -4.11 % 24.528 M
Weighted average shs out 26.567 M 24.09 % 21.409 M -6.05 % 22.788 M -10.15 % 25.362 M 1.58 % 24.968 M 1.80 % 24.528 M 0.00 % 24.528 M 0.00 % 24.528 M 5.54 % 23.240 M 0.00 % 23.240 M 38.33 % 16.800 M 0.00 % 16.800 M -0.27 % 16.845 M 0.53 % 16.755 M -27.90 % 23.240 M -5.25 % 24.528 M
EPS diluted -0.28 -33.33 % -0.21 72.00 % -0.75 -294.74 % -0.19 68.85 % -0.61 -96.77 % -0.31 -6.90 % -0.29 -411.46 % -0.06 -113.50 % 0.42 325.96 % 0.10 -78.09 % 0.45 246.15 % 0.13 -50.00 % 0.26 36.84 % 0.19 1 375.17 % -0.01 -7.97 % -0.01
Earnings per share -0.28 -12.00 % -0.25 70.93 % -0.86 -352.63 % -0.19 68.85 % -0.61 -96.77 % -0.31 -6.90 % -0.29 -411.46 % -0.06 -113.50 % 0.42 325.96 % 0.10 -78.09 % 0.45 246.15 % 0.13 -50.00 % 0.26 36.84 % 0.19 1 350.00 % -0.02 -10.14 % -0.01
Gross profit -5.815 M -33 540.50 % 17.389 K 100.13 % -13.023 M -2 202.70 % 619.327 K 125.99 % -2.383 M -330.73 % 1.033 M 23.03 % 839.632 K -68.71 % 2.683 M -82.21 % 15.078 M 194.34 % 5.123 M -53.61 % 11.042 M 131.27 % 4.774 M -33.70 % 7.201 M 38.59 % 5.196 M 589.61 % 753.409 K 0.00 % 753.410 K
Income tax expense -13.700 K -171.12 % 19.263 K 5 103.38 % -385.000 -342.14 % 159.000 100.08 % -197.287 K -119.61 % 1.006 M 223.79 % 310.776 K 156.78 % -547.357 K -119.66 % 2.784 M 926.39 % 271.220 K -76.20 % 1.140 M 153.45 % 449.598 K -32.52 % 666.309 K 35.39 % 492.156 K 758.64 % -74.724 K 0.00 % -74.724 K
Cost of revenue 48.530 M 117.96 % 22.266 M -40.41 % 37.364 M 85.99 % 20.089 M -33.58 % 30.244 M 227.59 % 9.232 M 718.68 % 1.128 M -59.13 % 2.759 M 72.82 % 1.596 M 15.36 % 1.384 M 27.55 % 1.085 M 5.86 % 1.025 M 87.69 % 546.007 K -8.48 % 596.589 K 52.90 % 390.171 K 0.00 % 390.170 K
General and administrative expenses 3.179 M -24.53 % 4.213 M -50.18 % 8.456 M 84.45 % 4.584 M -36.38 % 7.205 M 31.64 % 5.474 M 6.24 % 5.152 M 111.33 % 2.438 M 30.72 % 1.865 M 11.06 % 1.679 M 25.50 % 1.338 M 13.45 % 1.180 M 35.59 % 869.939 K 30.99 % 664.132 K 1.86 % 652.021 K 0.00 % 652.018 K
Selling and marketing expenses 538.081 K 48.77 % 361.679 K 1 052.39 % 31.385 K -95.58 % 710.782 K 47.31 % 482.520 K -18.69 % 593.460 K 11.78 % 530.914 K 27.67 % 415.861 K -3.50 % 430.960 K -9.37 % 475.496 K -28.35 % 663.612 K -3.44 % 687.282 K 42.89 % 480.986 K -40.00 % 801.691 K 107.28 % 386.772 K 0.00 % 386.772 K
Other expenses 0.000 0.000 -100.00 % 3.151 M 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 -100.00 % 1.077 K 0.000
Operating expenses 5.377 M -0.84 % 5.422 M -55.11 % 12.079 M 99.75 % 6.047 M -30.00 % 8.639 M 40.02 % 6.170 M -12.31 % 7.036 M 80.54 % 3.897 M 44.69 % 2.693 M -3.17 % 2.781 M 2.70 % 2.708 M 15.26 % 2.350 M 13.89 % 2.063 M 23.95 % 1.665 M 42.71 % 1.167 M 0.00 % 1.167 M
Cost and expenses 53.906 M 94.69 % 27.688 M -44.00 % 49.444 M 89.18 % 26.137 M -32.78 % 38.883 M 152.45 % 15.402 M 88.67 % 8.163 M 22.65 % 6.656 M 55.16 % 4.290 M 2.99 % 4.165 M 9.81 % 3.793 M 12.41 % 3.375 M 29.33 % 2.609 M 15.39 % 2.261 M 45.27 % 1.557 M 0.00 % 1.557 M
Research and development expenses 1.659 M 95.73 % 847.852 K 92.39 % 440.705 K -41.42 % 752.377 K -20.89 % 951.045 K 824.81 % 102.837 K -90.72 % 1.108 M 6.25 % 1.043 M 341.13 % 236.476 K -45.62 % 434.836 K -21.81 % 556.156 K 132.33 % 239.384 K -48.97 % 469.078 K 138.96 % 196.300 K 53.71 % 127.712 K 0.00 % 127.712 K
Selling general and administrative expenses 3.717 M -18.74 % 4.574 M -46.10 % 8.487 M 60.29 % 5.295 M -31.13 % 7.688 M 26.72 % 6.067 M 2.36 % 5.927 M 107.69 % 2.854 M 16.16 % 2.457 M 4.70 % 2.347 M 9.00 % 2.153 M 2.76 % 2.095 M 33.78 % 1.566 M 6.84 % 1.466 M 41.11 % 1.039 M 0.00 % 1.039 M
Interest income 113.881 K 35.10 % 84.295 K 0.000 -100.00 % 527.083 K 701.43 % 65.768 K 70.21 % 38.640 K -75.13 % 155.365 K 772.44 % 17.808 K -79.03 % 84.911 K -38.52 % 138.112 K 124.96 % 61.393 K -59.31 % 150.892 K 111.37 % 71.387 K 0.23 % 71.225 K -10.96 % 79.988 K 0.000
Interest expense 1.100 M 19.85 % 918.199 K -43.84 % 1.635 M 210.20 % 527.083 K 701.43 % 65.768 K 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 -100.00 % 79.988 K 0.000
Depreciation and amortization 3.020 M 12.20 % 2.692 M 0.50 % 2.678 M 76.67 % 1.516 M -0.43 % 1.523 M 102.18 % 753.054 K 35.45 % 555.959 K 28.48 % 432.713 K -35.39 % 669.713 K 20.61 % 555.264 K 266.22 % 151.621 K 832.77 % 16.255 K 53.02 % 10.623 K 3.55 % 10.259 K 122.66 % 4.608 K 0.00 % 4.608 K
Operating income -11.192 M -107.07 % -5.405 M 78.47 % -25.102 M -362.45 % -5.428 M 50.75 % -11.022 M -114.57 % -5.137 M 17.09 % -6.196 M -410.36 % -1.214 M -109.80 % 12.385 M 429.00 % 2.341 M -71.90 % 8.332 M 241.51 % 2.440 M -52.77 % 5.166 M 46.19 % 3.533 M 955.37 % -413.094 K 0.00 % -413.094 K
Operating income ratio -0.26 -8.02 % -0.24 76.48 % -1.03 -293.42 % -0.26 33.75 % -0.40 20.94 % -0.50 84.11 % -3.15 -1 311.75 % -0.22 -130.04 % 0.74 106.42 % 0.36 -47.63 % 0.69 63.32 % 0.42 -36.90 % 0.67 9.31 % 0.61 268.88 % -0.36 0.00 % -0.36
Total other income expenses net -763.004 K -23.81 % -616.269 K 69.06 % -1.992 M -402.90 % -396.074 K 82.65 % -2.283 M -86.61 % -1.223 M -59.68 % -766.168 K 1.11 % -774.732 K -664.18 % 137.321 K -7.77 % 148.889 K 139.79 % 62.091 K -54.16 % 135.464 K 213.78 % 43.171 K -37.09 % 68.628 K 1 857.72 % 3.506 K 0.00 % 3.506 K
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
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 2017-12-31
Net debt 49.235 M 69.18 % 29.102 M 10.32 % 26.380 M 54.40 % 17.086 M 110.78 % 8.106 M 138.24 % -21.197 M -53.42 % -13.817 M 33.57 % -20.799 M -90.83 % -10.900 M -95.29 % -5.581 M 40.21 % -9.334 M 29.79 % -13.294 M -14.03 % -11.658 M -81.30 % -6.430 M
Total investments 2.008 M 4.56 % 1.920 M 2.15 % 1.880 M -69.59 % 6.183 M -2.72 % 6.356 M -54.14 % 13.860 M -5.68 % 14.694 M 21.16 % 12.128 M 293.10 % 3.085 M 335.02 % 709.220 K 21.84 % 582.080 K 39.96 % 415.896 K -42.41 % 722.166 K 56.51 % 461.418 K
Total debt 50.500 M 13.90 % 44.337 M 59.62 % 27.776 M 16.75 % 23.792 M 91.86 % 12.400 M 1 352.25 % 853.870 K 757.57 % 99.569 K -56.68 % 229.844 K 245.65 % 66.497 K -60.17 % 166.969 K 59.34 % 104.785 K 152.88 % 41.436 K 0.000 0.000
Accumulated other comprehensive income loss -99.204 K 96.13 % -2.561 M -623.80 % 488.853 K 248.26 % -329.718 K -129.37 % 1.123 M -58.43 % 2.700 M -41.59 % 4.623 M 5.98 % 4.362 M 11.50 % 3.912 M 441.98 % 721.785 K 220.34 % -599.786 K -68.41 % -356.155 K -212.79 % 315.760 K 200.97 % 104.913 K
Retained earnings -42.243 M -30.22 % -32.441 M -6.48 % -30.467 M -178.40 % -10.944 M -75.53 % -6.234 M -164.23 % 9.707 M -43.76 % 17.260 M -28.54 % 24.153 M -5.88 % 25.663 M 53.63 % 16.705 M 4.08 % 16.050 M 87.73 % 8.549 M 50.78 % 5.670 M 581.69 % -1.177 M
Common stock 2.698 K 3.21 % 2.614 K 0.00 % 2.614 K 3.08 % 2.536 K 0.00 % 2.536 K 3.38 % 2.453 K 0.00 % 2.453 K 0.00 % 2.453 K 46.01 % 1.680 K 0.00 % 1.680 K 0.00 % 1.680 K -40.00 % 2.800 K 0.00 % 2.800 K 0.00 % 2.800 K
Total equity 27.295 M -29.92 % 38.950 M -14.08 % 45.332 M -31.92 % 66.587 M -9.23 % 73.362 M -17.63 % 89.065 M 56.33 % 56.974 M -5.98 % 60.598 M 77.45 % 34.150 M 55.03 % 22.029 M 10.16 % 19.997 M 55.16 % 12.888 M 20.89 % 10.661 M 243.68 % 3.102 M
Other non current liabilities 1.339 M -50.22 % 2.689 M -0.53 % 2.704 M -60.72 % 6.883 M 1 056.06 % -719.937 K 0.000 0.000 0.000 100.00 % 0.000 0.000 0.000 0.000 0.000 0.000
Long term debt 27.443 M -5.85 % 29.150 M 231.79 % 8.785 M 21.74 % 7.217 M -11.53 % 8.158 M 0.000 0.000 -100.00 % 78.462 K 2 355.01 % 3.196 K -89.71 % 31.063 K -70.36 % 104.785 K 152.88 % 41.436 K 0.000 0.000
Total non current liabilities 28.972 M -9.55 % 32.030 M 174.12 % 11.684 M -18.24 % 14.291 M 87.12 % 7.637 M 0.000 0.000 -100.00 % 78.462 K 2 355.01 % 3.196 K -89.71 % 31.063 K -70.36 % 104.785 K 152.88 % 41.436 K 0.000 0.000
Other current liabilities 8.390 M 8.84 % 7.708 M -18.29 % 9.434 M -30.96 % 13.664 M 174.44 % 4.979 M -15.25 % 5.875 M 1 675.32 % 330.902 K -4.05 % 344.883 K -34.83 % 529.184 K -26.43 % 719.275 K -81.01 % 3.788 M 43.47 % 2.640 M 4.11 % 2.536 M 1 434.50 % 165.265 K
Deferred revenue 4.859 M 45.22 % 3.346 M 384.80 % 690.164 K -26.41 % 937.875 K 35.00 % 694.702 K -56.37 % 1.592 M 787.48 % 179.407 K -42.08 % 309.756 K 23.75 % 250.309 K -40.81 % 422.865 K 0.000 0.000 -100.00 % 2.156 M -53.60 % 4.646 M
Short term debt 23.056 M 51.81 % 15.188 M -20.03 % 18.991 M 46.34 % 12.977 M 71.12 % 7.583 M 11 723.53 % 64.138 K -35.58 % 99.569 K -34.23 % 151.382 K 139.15 % 63.301 K -53.42 % 135.906 K -48.48 % 263.796 K 30.85 % 201.602 K 0.000 0.000
Total current liabilities 86.757 M 22.91 % 70.584 M 11.18 % 63.488 M 56.44 % 40.584 M 55.95 % 26.023 M 118.78 % 11.895 M 591.21 % 1.721 M -34.63 % 2.633 M -52.85 % 5.583 M 81.77 % 3.072 M -55.26 % 6.866 M 140.23 % 2.858 M -20.73 % 3.606 M -25.49 % 4.839 M
Total liabilities 115.728 M 12.78 % 102.614 M 36.50 % 75.173 M 36.99 % 54.876 M 63.03 % 33.661 M 182.98 % 11.895 M 591.21 % 1.721 M -36.52 % 2.711 M -51.47 % 5.587 M 80.05 % 3.103 M -55.49 % 6.971 M 140.41 % 2.900 M -19.58 % 3.606 M -25.49 % 4.839 M
Other non current assets 1.874 M 27.39 % 1.471 M -3.53 % 1.524 M -85.12 % 10.246 M 1.47 % 10.098 M 2 919.76 % 334.384 K -95.22 % 6.990 M 0.000 -100.00 % 593.611 K 30.81 % 453.781 K -68.89 % 1.459 M 954.20 % 138.365 K 127.31 % -506.585 K -4 931.98 % 10.484 K
Long term investments 2.008 M 4.56 % 1.920 M 2.15 % 1.880 M -35.17 % 2.900 M -3.95 % 3.019 M -65.01 % 8.629 M 6.78 % 8.082 M 60.11 % 5.047 M 63.60 % 3.085 M 335.02 % 709.220 K 21.84 % 582.080 K 39.96 % 415.896 K -3.45 % 430.757 K -6.64 % 461.418 K
Intangible assets 9.270 M -1.60 % 9.420 M -3.43 % 9.755 M 181.76 % 3.462 M -12.63 % 3.963 M -72.21 % 14.262 M 296.71 % 3.595 M -8.81 % 3.942 M -8.18 % 4.294 M -0.55 % 4.317 M -9.04 % 4.747 M 0.000 -100.00 % 725.772 K 0.000
GoodWill 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
Goodwill and intangible assets 9.270 M -1.60 % 9.420 M -3.43 % 9.755 M 181.76 % 3.462 M -12.63 % 3.963 M -72.21 % 14.262 M 296.71 % 3.595 M -8.81 % 3.942 M -8.18 % 4.294 M -0.55 % 4.317 M -9.04 % 4.747 M 0.000 -100.00 % 506.585 K 4 931.98 % -10.484 K
Property plant equipment net 66.861 M -1.20 % 67.673 M -5.39 % 71.530 M 37.63 % 51.970 M 14.71 % 45.305 M 58.57 % 28.572 M 486.21 % 4.874 M 30.45 % 3.736 M 6.83 % 3.497 M 12.39 % 3.112 M 403.47 % 618.073 K 89.06 % 326.920 K 331.13 % 75.828 K 51.06 % 50.196 K
Total non current assets 80.012 M -0.59 % 80.484 M -4.96 % 84.689 M 23.49 % 68.578 M 9.93 % 62.385 M 20.44 % 51.797 M 112.35 % 24.393 M 73.88 % 14.028 M 16.20 % 12.073 M 34.47 % 8.978 M 21.23 % 7.405 M 740.39 % 881.181 K 56.61 % 562.654 K -23.75 % 737.931 K
Other current assets 11.535 M 50.78 % 7.650 M 28.29 % 5.963 M 128.48 % 2.610 M -82.92 % 15.279 M 1 356.06 % 1.049 M -68.00 % 3.280 M -41.23 % 5.580 M 315.27 % 1.344 M 142.97 % 553.066 K -64.47 % 1.557 M 335.10 % 357.783 K 281.19 % 93.859 K 90.92 % 49.162 K
Short term investments 0.000 0.000 -100.00 % 2.225 M -32.23 % 3.283 M -1.60 % 3.336 M -36.21 % 5.230 M -20.90 % 6.613 M -6.61 % 7.081 M 0.000 0.000 0.000 0.000 -100.00 % 291.409 K 0.000
cash and cash equivalents 1.264 M -91.70 % 15.235 M 991.40 % 1.396 M -79.18 % 6.705 M 56.16 % 4.294 M -80.53 % 22.051 M 58.46 % 13.916 M -33.82 % 21.029 M 91.77 % 10.966 M 90.78 % 5.748 M -39.10 % 9.439 M -29.22 % 13.336 M 14.39 % 11.658 M 81.30 % 6.430 M
Cash and short term investments 1.264 M -91.70 % 15.235 M 320.79 % 3.621 M -63.75 % 9.988 M 30.90 % 7.630 M -72.03 % 27.281 M 32.89 % 20.529 M -26.97 % 28.110 M 156.34 % 10.966 M 90.78 % 5.748 M -39.10 % 9.439 M -29.22 % 13.336 M 11.60 % 11.950 M 85.83 % 6.430 M
Total current assets 63.011 M 3.16 % 61.079 M 70.54 % 35.816 M -32.28 % 52.885 M 18.47 % 44.638 M -9.20 % 49.163 M 43.32 % 34.302 M -30.39 % 49.281 M 78.14 % 27.664 M 71.25 % 16.154 M -17.42 % 19.562 M 31.23 % 14.907 M 8.78 % 13.704 M 90.25 % 7.203 M
Inventory 17.660 M -30.12 % 25.273 M 59.52 % 15.844 M -28.81 % 22.256 M 5.22 % 21.151 M 20.51 % 17.552 M 465.15 % 3.106 M 17.82 % 2.636 M -2.62 % 2.707 M 8.24 % 2.501 M -23.92 % 3.287 M 0.000 0.000 -100.00 % 10.484 K
Net receivables 32.551 M 151.92 % 12.921 M 24.38 % 10.389 M -46.53 % 19.428 M 258.05 % 5.426 M 65.38 % 3.281 M -59.41 % 8.082 M -37.61 % 12.955 M 2.43 % 12.647 M 62.03 % 7.805 M 47.85 % 5.279 M 1 401.17 % 351.676 K -51.54 % 725.772 K 16.25 % 624.306 K
Tax assets 0.000 0.000 0.000 0.000 0.000 0.000 -100.00 % 852.037 K -34.56 % 1.302 M 116.00 % 602.806 K 56.29 % 385.698 K 0.000 0.000 -100.00 % 56.069 K -75.23 % 226.317 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
Account payables 49.960 M 12.67 % 44.342 M 30.91 % 33.873 M 77.18 % 19.118 M 55.94 % 12.260 M 130.85 % 5.311 M 15 299.34 % 34.486 K -35.71 % 53.638 K 59.18 % 33.697 K -80.43 % 172.166 K -93.88 % 2.815 M 16 983.41 % 16.476 K -56.66 % 38.018 K 178.44 % 13.654 K
Tax payables 491.745 K 0.000 -100.00 % 501.372 K -2.94 % 516.541 K 1.95 % 506.638 K -21.53 % 645.607 K -40.03 % 1.077 M -39.28 % 1.773 M -62.33 % 4.707 M 190.28 % 1.622 M 0.000 0.000 -100.00 % 1.032 M 6 926.83 % 14.681 K
Deferred revenue non current 0.000 0.000 0.000 -100.00 % 7.146 M 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Minority interest 37.559 M -9.94 % 41.704 M -2.30 % 42.687 M -1.61 % 43.383 M -2.90 % 44.681 M -0.02 % 44.689 M 1 331.32 % 3.122 M 4 873.16 % 62.782 K -43.52 % 111.150 K -19.50 % 138.083 K -31.98 % 203.013 K -42.17 % 351.046 K 5.97 % 331.277 K 657.48 % 43.734 K
Capital lease obligations 5.868 M 66.38 % 3.527 M -28.12 % 4.906 M -19.70 % 6.110 M 49.79 % 4.079 M 6 259.48 % 64.138 K -35.58 % 99.569 K -56.68 % 229.844 K 245.65 % 66.497 K -60.17 % 166.969 K -54.70 % 368.581 K 51.66 % 243.038 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 0.000 0.000 0.000
Other total stockholders equity 32.076 M -0.52 % 32.244 M -1.15 % 32.621 M -5.38 % 34.475 M 2.03 % 33.790 M 5.70 % 31.967 M 0.00 % 31.967 M -0.16 % 32.018 M 617.55 % 4.462 M 0.00 % 4.462 M -25.36 % 5.979 M 37.72 % 4.341 M -12.75 % 4.975 M 20.54 % 4.128 M
Deferred tax liabilities non current 189.551 K -0.56 % 190.609 K -2.42 % 195.327 K 2.01 % 191.470 K -4.06 % 199.583 K 0.000 0.000 0.000 0.000 0.000 0.000 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 0.000 0.000 0.000 0.000
Total assets 143.023 M 1.03 % 141.564 M 17.48 % 120.505 M -0.79 % 121.463 M 13.49 % 107.022 M 6.00 % 100.960 M 72.01 % 58.695 M -7.29 % 63.309 M 59.32 % 39.737 M 58.12 % 25.132 M -6.81 % 26.968 M 70.81 % 15.788 M 10.66 % 14.266 M 79.65 % 7.941 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 2017-12-31
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 2017-06-30
Deferred income tax -223.000 0.000 100.00 % -222.000 4.31 % -232.000 99.24 % -30.458 K -103.64 % 837.871 K 0.000 0.000 100.00 % -177.008 K -30.37 % -135.772 K 0.000 0.000 0.000 -100.00 % 41.330 K 152.62 % -78.552 K
Stock based compensation 0.000 -100.00 % 607.742 K -26.09 % 822.220 K -39.03 % 1.349 M -50.60 % 2.730 M 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Change in working capital -4.356 M 77.72 % -19.551 M -601.47 % 3.899 M 154.24 % 1.533 M 120.33 % -7.544 M -702.70 % -939.820 K 0.000 0.000 100.00 % -4.691 M -64.25 % -2.856 M 66.53 % -8.532 M -5 245.51 % 165.822 K -85.80 % 1.168 M 172.47 % -1.611 M -189.42 % 1.802 M
Accounts receivables -19.266 M -383.93 % -3.981 M -179.96 % 4.979 M 154.67 % -9.108 M -52.77 % -5.962 M -301.97 % 2.952 M 0.000 0.000 100.00 % -5.534 M -84.27 % -3.003 M 60.34 % -7.572 M -4 313.59 % 179.707 K -72.40 % 651.223 K 151.44 % -1.266 M -22 224.12 % -5.671 K
Inventory 6.470 M 150.90 % -12.711 M -651.58 % -1.691 M 50.32 % -3.404 M 36.53 % -5.363 M 59.93 % -13.385 M 0.000 0.000 100.00 % -87.995 K -111.64 % 755.754 K 191.74 % -823.817 K 0.000 0.000 -100.00 % 211.265 K 192.13 % -229.303 K
Accounts payables 5.850 M 0.000 100.00 % -1.552 M -120.19 % 7.685 M 6.76 % 7.198 M 31.76 % 5.463 M 0.000 0.000 100.00 % -9.421 K 86.54 % -70.005 K 0.000 0.000 0.000 -100.00 % 6.487 K 16 970.39 % 38.000
Other working capital 2.590 M 190.61 % -2.859 M -232.19 % 2.163 M -66.00 % 6.361 M 286.14 % -3.417 M -184.81 % 4.029 M 0.000 0.000 -100.00 % 939.955 K 274.42 % -538.900 K -294.94 % -136.452 K -882.73 % -13.885 K -102.69 % 516.391 K 249.52 % -345.366 K -116.96 % 2.037 M
Other non cash items -3.282 M -121.79 % 15.064 M 70.93 % 8.813 M 4.82 % 8.408 M -54.20 % 18.359 M 88.52 % 9.738 M 4.95 % 9.279 M 251.89 % -6.109 M -177.74 % 7.858 M 100.18 % 3.926 M 1 519.82 % 242.348 K 127.47 % -882.261 K -381.06 % 313.910 K 119.57 % -1.604 M -4 161.58 % 39.500 K
Net cash provided by operating activities -11.944 M -111.80 % -5.639 M -88.23 % -2.996 M -169.49 % -1.112 M 88.86 % -9.983 M -176.95 % -3.605 M -259.02 % 2.267 M 130.22 % -7.500 M -215.66 % 6.485 M 1 736.88 % 353.027 K 654.14 % -63.707 K -104.90 % 1.300 M -77.59 % 5.800 M 16 372.09 % -35.641 K -102.49 % 1.430 M
Investments in property plant and equipment -1.482 M -50.71 % -983.157 K 69.08 % -3.180 M 3.34 % -3.290 M 82.54 % -18.840 M 25.38 % -25.247 M 0.000 0.000 100.00 % -328.531 K 92.05 % -4.130 M -209.15 % -1.336 M -5 295.79 % -24.761 K 37.49 % -39.610 K -282.63 % -10.352 K 50.31 % -20.832 K
Acquisitions net -65.751 K 0.000 100.00 % -706.125 K -576.86 % 148.078 K 354.02 % 32.615 K -99.91 % 36.992 M 0.000 0.000 -100.00 % 120.388 K 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 % -1.701 M 81.59 % -9.240 M -450.49 % -1.679 M 0.000 0.000 0.000 0.000 100.00 % -78.392 K -4.29 % -75.165 K
Sales maturities of investments 708.757 K 0.000 -100.00 % 878.000 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
Other investing activites -640.296 K -121.14 % 3.029 M 16 540.94 % -18.423 K 97.32 % -686.314 K -54.54 % -444.098 K 58.82 % -1.078 M 86.04 % -7.722 M -7 621.72 % -100.000 K -85.13 % -54.017 K -200.00 % 54.017 K 102.20 % -2.459 M -933.77 % 294.950 K 233.01 % -221.747 K -141.50 % -91.821 K -195.65 % 95.996 K
Net cash used for investing activites -1.479 M -172.30 % 2.046 M 167.59 % -3.027 M 20.94 % -3.828 M 80.11 % -19.251 M -280.48 % 10.667 M 213.20 % -9.423 M -0.88 % -9.340 M -381.28 % -1.941 M 52.39 % -4.076 M -7.41 % -3.795 M -1 504.66 % 270.189 K 203.38 % -261.357 K -155.80 % -102.173 K -6.43 % -95.997 K
Debt repayment 7.469 M -62.23 % 19.772 M 173.00 % 7.243 M 39.92 % 5.176 M 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Common stock issued 0.000 0.000 0.000 0.000 0.000 0.000 -100.00 % 4.639 K -99.98 % 27.500 M 0.000 0.000 0.000 0.000 0.000 -100.00 % 85.161 K -92.78 % 1.179 M
Common stock repurchased 0.000 0.000 0.000 0.000 100.00 % -36.992 M 0.000 0.000 0.000 0.000 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 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Other financing activites -1.297 M 56.98 % -3.015 M 33.30 % -4.521 M -283.93 % 2.458 M -79.40 % 11.932 M 1 359.61 % 817.492 K 17 522.16 % 4.639 K -99.98 % 27.500 M 23 017.43 % -119.996 K -200.00 % 119.996 K 17.31 % 102.287 K -24.70 % 135.841 K 60.19 % 84.798 K -66.86 % 255.849 K -78.30 % 1.179 M
Net cash used provided by financing activities 6.171 M -63.17 % 16.757 M 515.74 % 2.721 M -64.35 % 7.634 M -36.02 % 11.932 M 1 359.61 % 817.492 K 17 522.16 % 4.639 K -99.98 % 27.500 M 23 017.43 % -119.996 K -200.00 % 119.996 K 17.31 % 102.287 K -24.70 % 135.841 K 60.19 % 84.798 K -66.86 % 255.849 K -78.30 % 1.179 M
Effect of forex changes on cash -6.011 K 96.38 % -166.046 K -176.75 % 216.350 K 176.47 % -282.937 K 75.50 % -1.155 M -552.49 % 255.263 K 0.000 0.000 -100.00 % 793.959 K 1 005.76 % -87.657 K 37.34 % -139.899 K -392.31 % -28.417 K 93.32 % -425.524 K -385.54 % -87.640 K -163.80 % 137.374 K
Net change in cash -7.257 M -155.84 % 12.997 M 521.33 % -3.085 M -227.92 % 2.411 M 113.58 % -17.757 M -318.28 % 8.135 M 214.36 % -7.113 M -170.68 % 10.063 M 92.86 % 5.218 M 241.37 % -3.691 M 5.27 % -3.897 M -332.30 % 1.677 M -67.73 % 5.197 M 7.09 % 4.853 M 266.18 % 1.325 M
Cash at beginning of period 16.618 M 358.97 % 3.621 M -46.00 % 6.705 M 56.16 % 4.294 M -80.53 % 22.051 M 58.46 % 13.916 M -33.82 % 21.029 M 91.77 % 10.966 M 90.78 % 5.748 M -39.10 % 9.439 M -29.22 % 13.336 M 14.39 % 11.658 M 80.45 % 6.461 M 301.89 % 1.608 M 469.61 % 282.228 K
Cash at end of period 9.361 M -43.67 % 16.618 M 358.97 % 3.621 M -46.00 % 6.705 M 56.16 % 4.294 M -80.53 % 22.051 M 58.46 % 13.916 M -33.82 % 21.029 M 91.77 % 10.966 M 90.78 % 5.748 M -39.10 % 9.439 M -29.22 % 13.336 M 14.39 % 11.658 M 80.45 % 6.461 M 301.89 % 1.608 M
Operating cash flow -11.944 M -71.85 % -6.950 M -131.98 % -2.996 M -169.49 % -1.112 M 88.86 % -9.983 M -176.95 % -3.605 M -259.02 % 2.267 M 130.22 % -7.500 M -215.66 % 6.485 M 1 736.88 % 353.027 K 654.14 % -63.707 K -104.90 % 1.300 M -77.59 % 5.800 M 16 372.09 % -35.641 K -102.49 % 1.430 M
Capital expenditure -1.482 M -50.71 % -983.162 K 69.08 % -3.180 M 3.34 % -3.290 M 82.54 % -18.840 M 25.38 % -25.247 M 0.000 0.000 100.00 % -328.531 K 92.05 % -4.130 M -209.15 % -1.336 M -5 295.79 % -24.761 K 37.49 % -39.610 K -282.63 % -10.352 K 50.31 % -20.832 K
Free CashFlow -13.425 M -69.23 % -7.933 M -28.45 % -6.176 M -40.31 % -4.402 M 84.73 % -28.823 M 0.10 % -28.852 M -1 372.78 % 2.267 M 130.22 % -7.500 M -221.83 % 6.156 M 262.97 % -3.777 M -169.86 % -1.400 M -209.78 % 1.275 M -77.86 % 5.760 M 12 623.48 % -45.993 K -103.26 % 1.409 M
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