HIPR.TA

Hiper Global Ltd. HIPR.TA

Finances

2024 2023 2022 2021 2020 2019 2018
Revenue 273.739 M -4.14 % 285.567 M -5.00 % 300.583 M 36.90 % 219.560 M 17.14 % 187.441 M 13.19 % 165.592 M 12.07 % 147.753 M
Net income 15.839 M 10.71 % 14.307 M -8.00 % 15.551 M 79.20 % 8.678 M 52.41 % 5.694 M 5.74 % 5.385 M -1.95 % 5.492 M
Income before tax 21.076 M 8.95 % 19.344 M -7.56 % 20.927 M 86.08 % 11.246 M 42.07 % 7.916 M 7.73 % 7.348 M -4.90 % 7.727 M
Income before tax ratio 0.08 13.66 % 0.07 -2.70 % 0.07 35.92 % 0.05 21.28 % 0.04 -4.83 % 0.04 -15.15 % 0.05
EBITDA 27.960 M 6.34 % 26.294 M -6.21 % 28.034 M 77.71 % 15.775 M 27.23 % 12.399 M -2.32 % 12.693 M 24.08 % 10.230 M
Net income ratio 0.06 15.49 % 0.05 -3.16 % 0.05 30.90 % 0.04 30.11 % 0.03 -6.59 % 0.03 -12.51 % 0.04
Ratio EBITDA 0.10 10.93 % 0.09 -1.27 % 0.09 29.81 % 0.07 8.62 % 0.07 -13.70 % 0.08 10.71 % 0.07
Gross profit ratio 0.17 3.31 % 0.17 3.29 % 0.16 5.08 % 0.15 -2.67 % 0.16 8.76 % 0.15 -5.13 % 0.15
Weighted average shs out dil 48.864 M 1.81 % 47.994 M 8.29 % 44.319 M 0.00 % 44.319 M 0.00 % 44.319 M 0.00 % 44.319 M 0.00 % 44.319 M
Weighted average shs out 48.864 M 1.78 % 48.010 M 8.33 % 44.319 M 0.00 % 44.319 M 0.00 % 44.319 M 0.00 % 44.319 M 0.00 % 44.319 M
EPS diluted 0.32 6.67 % 0.30 -11.76 % 0.34 70.00 % 0.20 53.85 % 0.13 8.33 % 0.12 0.00 % 0.12
Earnings per share 0.32 6.67 % 0.30 -11.76 % 0.34 70.00 % 0.20 53.85 % 0.13 8.33 % 0.12 0.00 % 0.12
Gross profit 47.569 M -0.97 % 48.035 M -1.87 % 48.952 M 43.86 % 34.028 M 14.01 % 29.846 M 23.11 % 24.244 M 6.33 % 22.801 M
Income tax expense 5.237 M 3.97 % 5.037 M -15.53 % 5.963 M 168.00 % 2.225 M 2.53 % 2.170 M 24.36 % 1.745 M -3.48 % 1.808 M
Cost of revenue 226.170 M -4.78 % 237.532 M -5.60 % 251.631 M 35.63 % 185.532 M 17.73 % 157.595 M 11.49 % 141.348 M 13.12 % 124.952 M
General and administrative expenses 3.099 M 1.34 % 3.058 M -11.31 % 3.448 M 23.58 % 2.790 M 11.07 % 2.512 M 45.71 % 1.724 M -2.10 % 1.761 M
Selling and marketing expenses 1.155 M 35.88 % 850.000 K -18.89 % 1.048 M 140.92 % 435.000 K 74.70 % 249.000 K -47.25 % 472.000 K 22.60 % 385.000 K
Other expenses 18.540 M -7.77 % 20.102 M 46 648.84 % 43.000 K 48.28 % 29.000 K 2 800.00 % 1.000 K 0.000 -100.00 % 1.000 K
Operating expenses 22.794 M -5.06 % 24.010 M -7.87 % 26.062 M 26.09 % 20.670 M 13.73 % 18.175 M 22.41 % 14.848 M 1.50 % 14.628 M
Cost and expenses 248.964 M -4.81 % 261.542 M -5.82 % 277.693 M 34.67 % 206.202 M 17.31 % 175.770 M 12.53 % 156.196 M 11.90 % 139.580 M
Research and development expenses 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Selling general and administrative expenses 4.254 M 8.85 % 3.908 M -13.08 % 4.496 M 39.41 % 3.225 M 16.81 % 2.761 M 25.73 % 2.196 M 2.33 % 2.146 M
Interest income 280.000 K 69.70 % 165.000 K 2 650.00 % 6.000 K -85.37 % 41.000 K 0.000 0.000 -100.00 % 6.000 K
Interest expense 2.069 M -4.43 % 2.165 M 29.95 % 1.666 M 119.79 % 758.000 K -13.57 % 877.000 K 32.48 % 662.000 K 14.34 % 579.000 K
Depreciation and amortization 4.815 M 0.63 % 4.785 M -12.06 % 5.441 M 44.29 % 3.771 M 4.58 % 3.606 M 8.42 % 3.326 M 60.37 % 2.074 M
Operating income 24.775 M 3.12 % 24.025 M 4.76 % 22.933 M 71.23 % 13.393 M 15.04 % 11.642 M 23.75 % 9.408 M 15.46 % 8.148 M
Operating income ratio 0.09 7.58 % 0.08 10.27 % 0.08 25.08 % 0.06 -1.79 % 0.06 9.32 % 0.06 3.03 % 0.06
Total other income expenses net -3.699 M 20.98 % -4.681 M -133.35 % -2.006 M 6.57 % -2.147 M 42.38 % -3.726 M -80.87 % -2.060 M -389.31 % -421.000 K
2024 2023 2022 2021 2020 2019 2018
2024 2023 2022 2021 2020 2019
Net debt 24.660 M 1.14 % 24.383 M -43.24 % 42.958 M 90.11 % 22.596 M -10.60 % 25.275 M 50.96 % 16.743 M
Total investments 0.000 0.000 0.000 0.000 0.000 0.000
Total debt 32.994 M -10.84 % 37.004 M -24.51 % 49.019 M 43.36 % 34.192 M -1.14 % 34.587 M 43.12 % 24.167 M
Accumulated other comprehensive income loss 36.599 M 0.000 -100.00 % 35.665 M 5.90 % 33.678 M 2 674.14 % 1.214 M 210.49 % 391.000 K
Retained earnings 42.064 M 36.77 % 30.756 M 37.64 % 22.345 M 52.35 % 14.667 M 31.66 % 11.140 M 42.89 % 7.796 M
Common stock 1.479 M 0.48 % 1.472 M 0.07 % 1.471 M -95.46 % 32.413 M 3.83 % 31.217 M -12.01 % 35.479 M
Total equity 91.279 M 14.82 % 79.495 M 13.28 % 70.175 M 45.15 % 48.345 M 12.18 % 43.097 M -0.22 % 43.192 M
Other non current liabilities 407.000 K -77.56 % 1.814 M -56.75 % 4.194 M 11.22 % 3.771 M -40.18 % 6.304 M 266.72 % 1.719 M
Long term debt 15.318 M 37.22 % 11.163 M -17.44 % 13.521 M 44.24 % 9.374 M -24.90 % 12.482 M 205.26 % 4.089 M
Total non current liabilities 15.805 M 20.81 % 13.083 M -26.15 % 17.715 M 34.77 % 13.145 M -30.03 % 18.786 M 223.45 % 5.808 M
Other current liabilities 26.995 M 17.83 % 22.910 M -6.23 % 24.433 M -0.40 % 24.530 M 10.42 % 22.216 M 41.03 % 15.753 M
Deferred revenue 0.000 0.000 0.000 0.000 0.000 0.000
Short term debt 17.676 M -31.60 % 25.841 M -27.20 % 35.498 M 43.03 % 24.818 M 12.27 % 22.105 M 10.10 % 20.078 M
Total current liabilities 67.911 M -15.61 % 80.471 M -9.68 % 89.100 M 21.12 % 73.564 M 20.24 % 61.179 M 27.44 % 48.008 M
Total liabilities 83.716 M -10.52 % 93.554 M -12.41 % 106.815 M 23.19 % 86.709 M 8.43 % 79.965 M 48.59 % 53.816 M
Other non current assets 442.000 K -42.97 % 775.000 K 258.80 % 216.000 K 27.06 % 170.000 K -94.25 % 2.958 M 502.44 % 491.000 K
Long term investments 0.000 0.000 0.000 0.000 0.000 0.000
Intangible assets 5.470 M -19.14 % 6.765 M -18.97 % 8.349 M 100.79 % 4.158 M -20.97 % 5.261 M 62.48 % 3.238 M
GoodWill 7.325 M -0.20 % 7.340 M 0.07 % 7.335 M 2.89 % 7.129 M 1.41 % 7.030 M 12.17 % 6.267 M
Goodwill and intangible assets 12.795 M -9.29 % 14.105 M -10.07 % 15.684 M 38.96 % 11.287 M -8.17 % 12.291 M 29.31 % 9.505 M
Property plant equipment net 18.168 M 52.58 % 11.907 M 3.79 % 11.472 M 14.45 % 10.024 M 2.26 % 9.802 M 16.82 % 8.391 M
Total non current assets 32.551 M 21.52 % 26.787 M -2.59 % 27.499 M 23.98 % 22.180 M -13.26 % 25.570 M 36.48 % 18.735 M
Other current assets 1.880 M -62.11 % 4.962 M 36.21 % 3.643 M -49.58 % 7.226 M -8.79 % 7.922 M 141.67 % 3.278 M
Short term investments 0.000 0.000 0.000 0.000 0.000 0.000
cash and cash equivalents 8.334 M -33.97 % 12.621 M 108.23 % 6.061 M -47.73 % 11.596 M 24.53 % 9.312 M 25.43 % 7.424 M
Cash and short term investments 8.334 M -33.97 % 12.621 M 108.23 % 6.061 M -47.73 % 11.596 M 24.53 % 9.312 M 25.43 % 7.424 M
Total current assets 142.444 M -2.61 % 146.262 M -2.16 % 149.491 M 32.44 % 112.874 M 15.50 % 97.729 M 24.48 % 78.510 M
Inventory 73.910 M -2.05 % 75.454 M -13.58 % 87.315 M 74.34 % 50.082 M 41.05 % 35.507 M 21.52 % 29.219 M
Net receivables 58.320 M 4.61 % 55.749 M 6.25 % 52.472 M 19.34 % 43.970 M -2.26 % 44.988 M 16.58 % 38.589 M
Tax assets 1.146 M 0.000 -100.00 % 127.000 K -81.83 % 699.000 K 34.68 % 519.000 K 49.14 % 348.000 K
Other assets 0.000 0.000 0.000 0.000 0.000 0.000
Account payables 22.738 M -26.87 % 31.094 M 11.79 % 27.814 M 14.88 % 24.212 M 46.95 % 16.476 M 37.70 % 11.965 M
Tax payables 502.000 K -19.81 % 626.000 K -53.80 % 1.355 M 33 775.00 % 4.000 K -98.95 % 382.000 K 80.19 % 212.000 K
Deferred revenue non current 0.000 0.000 0.000 0.000 0.000 0.000
Minority interest 0.000 0.000 0.000 0.000 100.00 % -237.000 K 0.00 % -237.000 K
Capital lease obligations 12.941 M 93.79 % 6.678 M 20.32 % 5.550 M 9.86 % 5.052 M 5.56 % 4.786 M 54.34 % 3.101 M
Preferred stock 0.000 0.000 0.000 0.000 0.000 0.000
Other total stockholders equity 11.137 M -76.44 % 47.267 M 342.00 % 10.694 M 132.99 % -32.413 M 0.000 0.000
Deferred tax liabilities non current 80.000 K -24.53 % 106.000 K -77.96 % 481.000 K -8.73 % 527.000 K -32.35 % 779.000 K 79.91 % 433.000 K
Other liabilities 0.000 0.000 0.000 0.000 0.000 0.000
Total assets 174.995 M 1.12 % 173.049 M -2.23 % 176.990 M 31.05 % 135.054 M 9.53 % 123.299 M 26.79 % 97.245 M
2024 2023 2022 2021 2020 2019
2024 2023 2022 2021 2020 2019 2018
Deferred income tax 0.000 0.000 -100.00 % 2.770 M 0.000 0.000 0.000 0.000
Stock based compensation 528.000 K -44.48 % 951.000 K 3.82 % 916.000 K 0.000 0.000 0.000 0.000
Change in working capital -6.049 M -163.90 % 9.466 M 124.36 % -38.863 M -1 184.30 % -3.026 M -272.23 % 1.757 M 124.72 % -7.108 M -56.98 % -4.528 M
Accounts receivables -1.287 M -69.79 % -758.000 K 93.77 % -12.165 M -387.45 % 4.232 M 1 422.50 % -320.000 K 94.30 % -5.616 M 0.000
Inventory 1.530 M -87.06 % 11.825 M 132.59 % -36.281 M -151.29 % -14.438 M -819.02 % 2.008 M 215.47 % -1.739 M 79.20 % -8.360 M
Accounts payables 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Other working capital -6.292 M -293.00 % -1.601 M 37.99 % -2.582 M -122.63 % 11.412 M 4 646.61 % -251.000 K 95.33 % -5.369 M -240.11 % 3.832 M
Other non cash items 1.519 M -38.95 % 2.488 M 340.35 % 565.000 K -79.31 % 2.731 M -35.77 % 4.252 M 200.49 % 1.415 M 726.11 % -226.000 K
Net cash provided by operating activities 16.652 M -47.96 % 31.997 M 334.93 % -13.620 M -212.06 % 12.154 M -20.61 % 15.309 M 408.60 % 3.010 M 7.16 % 2.809 M
Investments in property plant and equipment -1.476 M -118.67 % -675.000 K 62.18 % -1.785 M -83.26 % -974.000 K -29.87 % -750.000 K 35.68 % -1.166 M -9.59 % -1.064 M
Acquisitions net 0.000 0.000 100.00 % -10.972 M 0.000 100.00 % -1.521 M 0.000 100.00 % -1.286 M
Purchases of investments -320.000 K 0.000 100.00 % -122.000 K 0.000 100.00 % -3.000 K 50.00 % -6.000 K 0.000
Sales maturities of investments 0.000 0.000 -100.00 % 80.000 K -72.70 % 293.000 K 9 666.67 % 3.000 K 0.000 0.000
Other investing activites 226.000 K 182.18 % -275.000 K -271.62 % -74.000 K -294.74 % 38.000 K -70.99 % 131.000 K 98.48 % 66.000 K 164.71 % -102.000 K
Net cash used for investing activites -1.570 M -65.26 % -950.000 K 92.62 % -12.873 M -1 902.02 % -643.000 K 69.95 % -2.140 M -93.49 % -1.106 M 54.89 % -2.452 M
Debt repayment -10.135 M 21.32 % -12.882 M -183.22 % 15.480 M 1 399.75 % -1.191 M -64.28 % -725.000 K -139.51 % 1.835 M 169.59 % -2.637 M
Common stock issued 0.000 0.000 -100.00 % 12.165 M 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
Dividends paid -5.164 M 27.36 % -7.109 M -74.71 % -4.069 M -346.65 % -911.000 K -60.67 % -567.000 K 0.000 0.000
Other financing activites -4.044 M 11.08 % -4.548 M -97.83 % -2.299 M 67.90 % -7.163 M 29.18 % -10.115 M -600.00 % 2.023 M 59.67 % 1.267 M
Net cash used provided by financing activities -19.343 M 21.17 % -24.539 M -215.33 % 21.277 M 329.65 % -9.265 M 18.78 % -11.407 M -395.67 % 3.858 M 381.61 % -1.370 M
Effect of forex changes on cash -26.000 K -150.00 % 52.000 K 116.30 % -319.000 K -939.47 % 38.000 K -69.84 % 126.000 K 43.18 % 88.000 K 201.15 % -87.000 K
Net change in cash -4.287 M -165.35 % 6.560 M 218.52 % -5.535 M -342.34 % 2.284 M 20.97 % 1.888 M -67.73 % 5.850 M 631.82 % -1.100 M
Cash at beginning of period 12.621 M 108.23 % 6.061 M -47.73 % 11.596 M 24.53 % 9.312 M 25.43 % 7.424 M 371.66 % 1.574 M -41.14 % 2.674 M
Cash at end of period 8.334 M -33.97 % 12.621 M 108.23 % 6.061 M -47.73 % 11.596 M 24.53 % 9.312 M 25.43 % 7.424 M 371.66 % 1.574 M
Operating cash flow 16.652 M -47.96 % 31.997 M 334.93 % -13.620 M -212.06 % 12.154 M -20.61 % 15.309 M 408.60 % 3.010 M 7.16 % 2.809 M
Capital expenditure -1.540 M -49.95 % -1.027 M 42.46 % -1.785 M -83.26 % -974.000 K -29.87 % -750.000 K 35.68 % -1.166 M -9.59 % -1.064 M
Free CashFlow 15.112 M -51.20 % 30.970 M 301.04 % -15.405 M -237.79 % 11.180 M -23.21 % 14.559 M 689.53 % 1.844 M 5.67 % 1.745 M
2024 2023 2022 2021 2020 2019 2018
2025-06-30 2025-03-31 2024-12-31 2024-09-30 2024-06-30 2024-03-31 2023-12-31 2023-09-30 2023-06-30 2023-03-31 2022-12-31 2022-09-30 2022-06-30 2022-03-31 2021-12-31 2021-09-30
Revenue 62.828 M -21.90 % 80.442 M 24.79 % 64.460 M 3.34 % 62.377 M 2.16 % 61.060 M -28.87 % 85.842 M 19.84 % 71.633 M -11.83 % 81.241 M 40.79 % 57.703 M -23.05 % 74.990 M -6.13 % 79.886 M -9.27 % 88.044 M 24.08 % 70.957 M 15.01 % 61.696 M -9.89 % 68.466 M 34.19 % 51.022 M
Net income 2.991 M -35.97 % 4.671 M 14.29 % 4.087 M 6.32 % 3.844 M 33.33 % 2.883 M -42.63 % 5.025 M 0.54 % 4.998 M 18.13 % 4.231 M 161.50 % 1.618 M -53.24 % 3.460 M 7.42 % 3.221 M -32.71 % 4.787 M 20.01 % 3.989 M 12.24 % 3.554 M 64.54 % 2.160 M -2.70 % 2.220 M
Income before tax 2.146 M -65.79 % 6.273 M 25.89 % 4.983 M 2.68 % 4.853 M 14.38 % 4.243 M -39.36 % 6.997 M 20.00 % 5.831 M -0.24 % 5.845 M 119.74 % 2.660 M -46.88 % 5.008 M 21.70 % 4.115 M -38.38 % 6.678 M 7.12 % 6.234 M 59.85 % 3.900 M 41.97 % 2.747 M -1.29 % 2.783 M
Income before tax ratio 0.03 -56.20 % 0.08 0.88 % 0.08 -0.64 % 0.08 11.96 % 0.07 -14.75 % 0.08 0.13 % 0.08 13.14 % 0.07 56.07 % 0.05 -30.97 % 0.07 29.65 % 0.05 -32.09 % 0.08 -13.67 % 0.09 38.98 % 0.06 57.55 % 0.04 -26.44 % 0.05
EBITDA 4.807 M -41.97 % 8.284 M 84.58 % 4.488 M -35.29 % 6.936 M 10.11 % 6.299 M -29.28 % 8.907 M 77.32 % 5.023 M -33.32 % 7.533 M 39.16 % 5.413 M -24.06 % 7.128 M 48.93 % 4.786 M -49.18 % 9.418 M 38.70 % 6.790 M 49.92 % 4.529 M 37.24 % 3.300 M -18.30 % 4.039 M
Net income ratio 0.05 -18.01 % 0.06 -8.42 % 0.06 2.89 % 0.06 30.52 % 0.05 -19.34 % 0.06 -16.10 % 0.07 33.97 % 0.05 85.73 % 0.03 -39.23 % 0.05 14.43 % 0.04 -25.84 % 0.05 -3.28 % 0.06 -2.41 % 0.06 82.59 % 0.03 -27.49 % 0.04
Ratio EBITDA 0.08 -25.70 % 0.10 47.91 % 0.07 -37.39 % 0.11 7.79 % 0.10 -0.58 % 0.10 47.97 % 0.07 -24.38 % 0.09 -1.16 % 0.09 -1.31 % 0.10 58.66 % 0.06 -43.99 % 0.11 11.79 % 0.10 30.36 % 0.07 52.30 % 0.05 -39.11 % 0.08
Gross profit ratio 0.16 -0.96 % 0.16 -15.13 % 0.18 -0.25 % 0.18 9.36 % 0.17 5.01 % 0.16 -15.55 % 0.19 32.37 % 0.14 -16.78 % 0.17 2.31 % 0.17 2.97 % 0.16 -2.13 % 0.17 0.92 % 0.17 11.06 % 0.15 -3.29 % 0.15 -3.34 % 0.16
Weighted average shs out dil 49.033 M 12.32 % 43.654 M -10.66 % 48.864 M 0.00 % 48.864 M 0.00 % 48.864 M 1.13 % 48.317 M 0.64 % 48.012 M -0.14 % 48.080 M 1.03 % 47.588 M 0.40 % 47.397 M 9.58 % 43.255 M -6.93 % 46.476 M 4.86 % 44.322 M -0.23 % 44.425 M 0.24 % 44.319 M 0.00 % 44.319 M
Weighted average shs out 47.476 M 8.76 % 43.654 M -10.66 % 48.864 M 0.00 % 48.864 M 0.00 % 48.864 M 4.05 % 46.963 M 0.30 % 46.821 M -0.40 % 47.011 M 1.69 % 46.229 M -1.13 % 46.757 M 8.09 % 43.255 M -4.22 % 45.160 M 1.89 % 44.322 M -0.23 % 44.425 M 0.24 % 44.319 M 0.00 % 44.319 M
EPS diluted 0.06 -44.55 % 0.11 31.58 % 0.08 6.23 % 0.08 33.39 % 0.06 -41.00 % 0.10 -75.00 % 0.40 354.55 % 0.09 158.82 % 0.03 -53.42 % 0.07 7.35 % 0.07 -32.00 % 0.10 11.11 % 0.09 12.50 % 0.08 64.27 % 0.05 -2.79 % 0.05
Earnings per share 0.06 -42.73 % 0.11 31.58 % 0.08 6.23 % 0.08 33.39 % 0.06 -46.36 % 0.11 -73.17 % 0.41 355.56 % 0.09 157.14 % 0.04 -52.70 % 0.07 8.82 % 0.07 -38.18 % 0.11 22.22 % 0.09 12.50 % 0.08 64.27 % 0.05 -2.79 % 0.05
Gross profit 9.740 M -22.65 % 12.592 M 5.91 % 11.889 M 3.08 % 11.534 M 11.72 % 10.324 M -25.31 % 13.822 M 1.20 % 13.658 M 16.72 % 11.702 M 17.16 % 9.988 M -21.27 % 12.687 M -3.34 % 13.126 M -11.20 % 14.781 M 25.22 % 11.804 M 27.74 % 9.241 M -12.85 % 10.604 M 29.71 % 8.175 M
Income tax expense -845.000 K -152.75 % 1.602 M 78.79 % 896.000 K -11.20 % 1.009 M -25.81 % 1.360 M -31.03 % 1.972 M 136.73 % 833.000 K -48.39 % 1.614 M 54.89 % 1.042 M -32.69 % 1.548 M 73.15 % 894.000 K -52.72 % 1.891 M -15.77 % 2.245 M 140.62 % 933.000 K 66.01 % 562.000 K 2.55 % 548.000 K
Cost of revenue 53.088 M -21.76 % 67.850 M 29.06 % 52.571 M 3.40 % 50.843 M 0.21 % 50.736 M -29.55 % 72.020 M 24.23 % 57.975 M -16.63 % 69.539 M 45.74 % 47.715 M -23.41 % 62.303 M -6.68 % 66.760 M -8.88 % 73.263 M 23.85 % 59.153 M 12.77 % 52.455 M -9.34 % 57.862 M 35.04 % 42.847 M
General and administrative expenses 3.058 M 15.79 % 2.641 M 152.81 % -5.001 M -285.91 % 2.690 M 4.38 % 2.577 M -9.04 % 2.833 M 153.79 % -5.267 M -323.27 % 2.359 M -11.88 % 2.677 M -18.61 % 3.289 M 154.51 % -6.034 M -292.23 % 3.139 M 1.26 % 3.100 M -4.41 % 3.243 M 174.24 % -4.368 M -266.78 % 2.619 M
Selling and marketing expenses 3.393 M 2.72 % 3.303 M 141.58 % -7.944 M -351.31 % 3.161 M 16.30 % 2.718 M -15.59 % 3.220 M 135.99 % -8.946 M -403.15 % 2.951 M -5.84 % 3.134 M -15.55 % 3.711 M 144.52 % -8.336 M -315.07 % 3.876 M 26.54 % 3.063 M 25.28 % 2.445 M 137.07 % -6.595 M -367.76 % 2.463 M
Other expenses -6.000 K 50.00 % -12.000 K -100.06 % 18.634 M 621 233.33 % -3.000 K 96.47 % -85.000 K -1 516.67 % 6.000 K 400.00 % -2.000 K 0.000 0.000 0.000 0.000 -100.00 % 1.000 K 0.000 100.00 % -1.000 K -111.11 % 9.000 K 169.23 % -13.000 K
Operating expenses 6.445 M 8.65 % 5.932 M 4.27 % 5.689 M -2.72 % 5.848 M 12.25 % 5.210 M -13.93 % 6.053 M 1.20 % 5.981 M 12.64 % 5.310 M -8.62 % 5.811 M -16.99 % 7.000 M -2.72 % 7.196 M 2.58 % 7.015 M 13.82 % 6.163 M 8.35 % 5.688 M -12.25 % 6.482 M 27.55 % 5.082 M
Cost and expenses 59.533 M -19.31 % 73.782 M 26.64 % 58.260 M 2.77 % 56.691 M 1.33 % 55.946 M -28.34 % 78.073 M 22.07 % 63.956 M -14.55 % 74.849 M 39.84 % 53.526 M -22.77 % 69.303 M -6.29 % 73.956 M -7.88 % 80.278 M 22.91 % 65.316 M 12.34 % 58.143 M -9.64 % 64.344 M 34.25 % 47.929 M
Research and development expenses 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Selling general and administrative expenses 6.451 M 8.53 % 5.944 M 145.92 % -12.945 M -321.24 % 5.851 M 10.50 % 5.295 M -12.52 % 6.053 M 142.59 % -14.213 M -367.66 % 5.310 M -8.62 % 5.811 M -16.99 % 7.000 M 148.71 % -14.370 M -304.85 % 7.015 M 13.82 % 6.163 M 8.35 % 5.688 M 151.88 % -10.963 M -315.72 % 5.082 M
Interest income 124.000 K -56.79 % 287.000 K -74.07 % 1.107 M 1 842.11 % 57.000 K -93.98 % 947.000 K 147.26 % 383.000 K 0.000 -100.00 % 409.000 K 30.25 % 314.000 K -37.70 % 504.000 K 0.000 -100.00 % 118.000 K -93.97 % 1.956 M 143.28 % 804.000 K 0.000 -100.00 % 36.000 K
Interest expense 1.273 M 88.87 % 674.000 K -62.56 % 1.800 M 102.25 % 890.000 K -51.05 % 1.818 M 56.59 % 1.161 M 0.000 -100.00 % 1.050 M -42.65 % 1.831 M 54.78 % 1.183 M 0.000 -100.00 % 1.207 M -11.45 % 1.363 M 198.90 % 456.000 K 0.000 -100.00 % 333.000 K
Depreciation and amortization 1.388 M 3.81 % 1.337 M 2.45 % 1.305 M 9.39 % 1.193 M 0.68 % 1.185 M 4.68 % 1.132 M 6.69 % 1.061 M 1.34 % 1.047 M -15.29 % 1.236 M -14.23 % 1.441 M -13.40 % 1.664 M 0.79 % 1.651 M 43.69 % 1.149 M 17.60 % 977.000 K 0.62 % 971.000 K 1.25 % 959.000 K
Operating income 3.295 M -50.53 % 6.660 M 7.42 % 6.200 M 9.04 % 5.686 M 11.18 % 5.114 M -34.23 % 7.775 M 1.30 % 7.675 M 18.33 % 6.486 M 55.28 % 4.177 M -26.55 % 5.687 M -4.79 % 5.973 M -23.10 % 7.767 M 37.69 % 5.641 M 58.81 % 3.552 M -14.14 % 4.137 M 34.32 % 3.080 M
Operating income ratio 0.05 -36.66 % 0.08 -13.92 % 0.10 5.52 % 0.09 8.84 % 0.08 -7.53 % 0.09 -15.47 % 0.11 34.20 % 0.08 10.29 % 0.07 -4.55 % 0.08 1.43 % 0.07 -15.24 % 0.09 10.97 % 0.08 38.08 % 0.06 -4.72 % 0.06 0.10 % 0.06
Total other income expenses net -1.149 M -196.90 % -387.000 K 68.20 % -1.217 M -46.10 % -833.000 K 4.36 % -871.000 K -11.95 % -778.000 K 57.81 % -1.844 M -187.68 % -641.000 K 57.75 % -1.517 M -123.42 % -679.000 K 63.46 % -1.858 M -70.62 % -1.089 M -283.64 % 593.000 K 70.40 % 348.000 K 125.04 % -1.390 M -368.01 % -297.000 K
2025-06-30 2025-03-31 2024-12-31 2024-09-30 2024-06-30 2024-03-31 2023-12-31 2023-09-30 2023-06-30 2023-03-31 2022-12-31 2022-09-30 2022-06-30 2022-03-31 2021-12-31 2021-09-30
2025-06-30 2025-03-31 2024-12-31 2024-09-30 2024-06-30 2024-03-31 2023-12-31 2023-09-30 2023-06-30 2023-03-31 2022-12-31 2022-09-30 2022-06-30 2021-12-31 2021-06-30 2020-12-31
Net debt 23.498 M -30.88 % 33.998 M 37.87 % 24.660 M -19.79 % 30.746 M 13.95 % 26.982 M 59.66 % 16.900 M -30.69 % 24.383 M 697.77 % -4.079 M -113.02 % 31.321 M -5.19 % 33.035 M -23.10 % 42.958 M 25.20 % 34.312 M -42.28 % 59.441 M 163.06 % 22.596 M -2.86 % 23.262 M -7.96 % 25.275 M
Total investments 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
Total debt 31.492 M -20.87 % 39.799 M 20.62 % 32.994 M -18.43 % 40.449 M 3.73 % 38.996 M 18.66 % 32.864 M -11.19 % 37.004 M 101.62 % 18.353 M -54.31 % 40.166 M -0.67 % 40.437 M -17.51 % 49.019 M 7.71 % 45.512 M -29.62 % 64.669 M 89.13 % 34.192 M 7.28 % 31.871 M -7.85 % 34.587 M
Accumulated other comprehensive income loss 0.000 -100.00 % 36.731 M 0.000 0.000 -100.00 % 36.419 M -0.41 % 36.568 M 0.06 % 36.545 M 1.89 % 35.868 M -0.28 % 35.969 M 0.32 % 35.855 M 0.53 % 35.665 M -22.12 % 45.792 M 0.000 0.000 0.000 0.000
Retained earnings 46.512 M 3.54 % 44.921 M 6.79 % 42.064 M 8.75 % 38.681 M 8.32 % 35.711 M 3.99 % 34.341 M 11.66 % 30.756 M 11.72 % 27.529 M 14.81 % 23.977 M 2.52 % 23.387 M 4.66 % 22.345 M -0.83 % 22.532 M 26.98 % 17.745 M 20.99 % 14.667 M 17.51 % 12.482 M 12.05 % 11.140 M
Common stock 1.483 M 0.20 % 1.480 M 0.07 % 1.479 M 0.00 % 1.479 M 0.00 % 1.479 M 0.34 % 1.474 M 0.14 % 1.472 M 0.00 % 1.472 M 0.00 % 1.472 M 0.07 % 1.471 M 0.00 % 1.471 M 0.00 % 1.471 M 5.45 % 1.395 M -95.70 % 32.413 M 8.28 % 29.935 M -4.11 % 31.217 M
Total equity 95.715 M 1.49 % 94.310 M 3.32 % 91.279 M 3.72 % 88.005 M 3.85 % 84.746 M 1.78 % 83.262 M 4.74 % 79.495 M 5.16 % 75.591 M 4.78 % 72.140 M 1.03 % 71.407 M 1.76 % 70.175 M 0.54 % 69.795 M 32.03 % 52.864 M 9.35 % 48.345 M 11.70 % 43.283 M -0.12 % 43.334 M
Other non current liabilities 458.000 K 12.53 % 407.000 K 0.00 % 407.000 K -50.85 % 828.000 K 43.01 % 579.000 K -61.66 % 1.510 M 2.03 % 1.480 M -30.91 % 2.142 M 12.50 % 1.904 M -55.27 % 4.257 M 1.50 % 4.194 M -23.47 % 5.480 M -5.44 % 5.795 M 53.67 % 3.771 M 1.95 % 3.699 M -41.32 % 6.304 M
Long term debt 18.802 M 29.40 % 14.530 M -5.14 % 15.318 M -5.96 % 16.289 M 52.55 % 10.678 M 2.51 % 10.417 M -6.68 % 11.163 M -8.07 % 12.143 M -8.48 % 13.268 M 6.48 % 12.460 M -7.85 % 13.521 M -8.00 % 14.696 M -7.06 % 15.812 M 68.68 % 9.374 M -13.73 % 10.866 M -12.95 % 12.482 M
Total non current liabilities 19.754 M 31.61 % 15.009 M -5.04 % 15.805 M -8.15 % 17.208 M 47.11 % 11.697 M -5.43 % 12.368 M -5.47 % 13.083 M -18.76 % 16.105 M -10.04 % 17.903 M 7.09 % 16.717 M -5.63 % 17.715 M -12.20 % 20.176 M -6.62 % 21.607 M 64.37 % 13.145 M -9.75 % 14.565 M -22.47 % 18.786 M
Other current liabilities 16.469 M -7.93 % 17.887 M -33.74 % 26.995 M 22.22 % 22.088 M 1 812.38 % 1.155 M -87.57 % 9.292 M -59.44 % 22.910 M 219.85 % -19.115 M -24.28 % -15.380 M -171.77 % 21.430 M -12.29 % 24.433 M 57.10 % 15.553 M 54.34 % 10.077 M -58.92 % 24.530 M 115.35 % 11.391 M -48.73 % 22.216 M
Deferred revenue 0.000 0.000 0.000 0.000 -100.00 % 9.356 M 48.01 % 6.321 M -69.44 % 20.686 M 5.58 % 19.593 M 24.60 % 15.725 M 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Short term debt 12.690 M -49.78 % 25.269 M 42.96 % 17.676 M -26.84 % 24.160 M -14.68 % 28.318 M 26.15 % 22.447 M -13.13 % 25.841 M 316.12 % 6.210 M -76.91 % 26.898 M -3.86 % 27.977 M -21.19 % 35.498 M 15.19 % 30.816 M -36.93 % 48.857 M 96.86 % 24.818 M 18.15 % 21.005 M -4.98 % 22.105 M
Total current liabilities 54.243 M -23.16 % 70.594 M 3.95 % 67.911 M -5.09 % 71.556 M -4.72 % 75.102 M -2.26 % 76.838 M -4.51 % 80.471 M -5.79 % 85.415 M 13.37 % 75.342 M -2.07 % 76.932 M -13.66 % 89.100 M 7.30 % 83.041 M -13.36 % 95.842 M 30.28 % 73.564 M 19.39 % 61.614 M 0.71 % 61.179 M
Total liabilities 73.997 M -13.56 % 85.603 M 2.25 % 83.716 M -5.69 % 88.764 M 2.26 % 86.799 M -2.70 % 89.206 M -4.65 % 93.554 M -7.85 % 101.520 M 8.87 % 93.245 M -0.43 % 93.649 M -12.33 % 106.815 M 3.49 % 103.217 M -12.12 % 117.449 M 35.45 % 86.709 M 13.82 % 76.179 M -4.73 % 79.965 M
Other non current assets 443.000 K -3.06 % 457.000 K 3.39 % 442.000 K -6.16 % 471.000 K -47.61 % 899.000 K 306.79 % 221.000 K 3.27 % 214.000 K 5.42 % 203.000 K 2.53 % 198.000 K 26.92 % 156.000 K -27.78 % 216.000 K 9.09 % 198.000 K -9.59 % 219.000 K 28.82 % 170.000 K -66.67 % 510.000 K -82.76 % 2.958 M
Long term investments 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
Intangible assets 6.596 M 26.75 % 5.204 M -4.86 % 5.470 M -5.85 % 5.810 M -5.19 % 6.128 M -5.18 % 6.463 M -4.46 % 6.765 M -3.84 % 7.035 M -3.97 % 7.326 M -4.51 % 7.672 M -8.11 % 8.349 M -10.02 % 9.279 M -9.52 % 10.255 M 146.63 % 4.158 M -10.79 % 4.661 M -11.40 % 5.261 M
GoodWill 9.983 M 35.73 % 7.355 M 0.41 % 7.325 M -0.91 % 7.392 M 0.80 % 7.333 M 0.01 % 7.332 M -0.11 % 7.340 M 1.30 % 7.246 M -0.96 % 7.316 M -0.12 % 7.325 M -0.14 % 7.335 M 1.02 % 7.261 M -1.17 % 7.347 M 3.06 % 7.129 M 1.84 % 7.000 M -0.43 % 7.030 M
Goodwill and intangible assets 16.579 M 32.01 % 12.559 M -1.84 % 12.795 M -3.08 % 13.202 M -1.92 % 13.461 M -2.42 % 13.795 M -2.20 % 14.105 M -1.23 % 14.281 M -2.47 % 14.642 M -2.37 % 14.997 M -4.38 % 15.684 M -5.18 % 16.540 M -6.03 % 17.602 M 55.95 % 11.287 M -3.21 % 11.661 M -5.13 % 12.291 M
Property plant equipment net 17.017 M -2.17 % 17.395 M -4.25 % 18.168 M -4.39 % 19.002 M 45.64 % 13.047 M 13.20 % 11.526 M -3.20 % 11.907 M 0.25 % 11.877 M -2.88 % 12.229 M 8.67 % 11.253 M -1.91 % 11.472 M 1.39 % 11.315 M -0.37 % 11.357 M 13.30 % 10.024 M -1.73 % 10.200 M 4.06 % 9.802 M
Total non current assets 36.469 M 14.41 % 31.876 M -2.07 % 32.551 M -2.66 % 33.439 M 22.01 % 27.407 M 4.92 % 26.123 M -2.48 % 26.787 M 0.28 % 26.713 M -2.36 % 27.360 M 2.77 % 26.622 M -3.19 % 27.499 M -2.52 % 28.211 M -3.86 % 29.343 M 32.29 % 22.180 M -3.93 % 23.088 M -9.71 % 25.570 M
Other current assets 2.038 M 124.45 % 908.000 K -51.70 % 1.880 M 53.22 % 1.227 M -69.26 % 3.991 M -5.31 % 4.215 M -15.05 % 4.962 M -7.32 % 5.354 M 23.82 % 4.324 M -18.75 % 5.322 M 46.09 % 3.643 M 25.49 % 2.903 M -47.40 % 5.519 M -23.62 % 7.226 M 1.13 % 7.145 M -9.81 % 7.922 M
Short term investments 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
cash and cash equivalents 7.994 M 37.80 % 5.801 M -30.39 % 8.334 M -14.11 % 9.703 M -19.24 % 12.014 M -24.74 % 15.964 M 26.49 % 12.621 M -43.74 % 22.432 M 153.61 % 8.845 M 19.49 % 7.402 M 22.13 % 6.061 M -45.88 % 11.200 M 114.23 % 5.228 M -54.92 % 11.596 M 34.70 % 8.609 M -7.55 % 9.312 M
Cash and short term investments 7.994 M 37.80 % 5.801 M -30.39 % 8.334 M -14.11 % 9.703 M -19.24 % 12.014 M -24.74 % 15.964 M 26.49 % 12.621 M -43.74 % 22.432 M 153.61 % 8.845 M 19.49 % 7.402 M 22.13 % 6.061 M -45.88 % 11.200 M 114.23 % 5.228 M -54.92 % 11.596 M 34.70 % 8.609 M -7.55 % 9.312 M
Total current assets 133.243 M -9.99 % 148.037 M 3.93 % 142.444 M -0.62 % 143.330 M -0.56 % 144.138 M -1.51 % 146.345 M 0.06 % 146.262 M -2.75 % 150.398 M 8.96 % 138.025 M -0.30 % 138.434 M -7.40 % 149.491 M 3.24 % 144.801 M 2.72 % 140.970 M 24.89 % 112.874 M 17.12 % 96.374 M -1.39 % 97.729 M
Inventory 63.376 M -6.04 % 67.448 M -8.74 % 73.910 M -6.06 % 78.677 M -2.46 % 80.661 M 5.79 % 76.245 M 1.05 % 75.454 M -8.39 % 82.367 M 2.78 % 80.143 M 2.07 % 78.514 M -10.08 % 87.315 M 6.73 % 81.811 M 2.71 % 79.650 M 59.04 % 50.082 M 35.42 % 36.983 M 4.16 % 35.507 M
Net receivables 59.835 M -19.01 % 73.880 M 26.68 % 58.320 M 8.56 % 53.723 M 13.17 % 47.472 M -4.91 % 49.921 M -6.21 % 53.225 M 32.25 % 40.245 M -9.99 % 44.713 M -5.26 % 47.196 M -10.05 % 52.472 M 7.33 % 48.887 M -3.33 % 50.573 M 15.02 % 43.970 M 0.76 % 43.637 M -3.00 % 44.988 M
Tax assets 2.430 M 65.87 % 1.465 M 27.84 % 1.146 M 50.00 % 764.000 K 0.000 -100.00 % 581.000 K 3.57 % 561.000 K 59.38 % 352.000 K 20.96 % 291.000 K 34.72 % 216.000 K 70.08 % 127.000 K -19.62 % 158.000 K -4.24 % 165.000 K -76.39 % 699.000 K -2.51 % 717.000 K 38.15 % 519.000 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 24.691 M -6.76 % 26.482 M 16.47 % 22.738 M -7.73 % 24.642 M -4.67 % 25.850 M -17.57 % 31.359 M 0.85 % 31.094 M -47.12 % 58.796 M 84.45 % 31.877 M 18.08 % 26.997 M -2.94 % 27.814 M -22.65 % 35.958 M -1.20 % 36.396 M 50.32 % 24.212 M -16.57 % 29.019 M 76.13 % 16.476 M
Tax payables 393.000 K -58.89 % 956.000 K 90.44 % 502.000 K -24.62 % 666.000 K -37.58 % 1.067 M -2.82 % 1.098 M 75.40 % 626.000 K 85.21 % 338.000 K -31.99 % 497.000 K -5.87 % 528.000 K -61.03 % 1.355 M 89.78 % 714.000 K 39.45 % 512.000 K 12 700.00 % 4.000 K -97.99 % 199.000 K -47.91 % 382.000 K
Deferred revenue non current 0.000 0.000 0.000 0.000 -100.00 % 440.000 K -0.23 % 441.000 K 0.23 % 440.000 K -75.82 % 1.820 M -33.36 % 2.731 M 0.000 0.000 0.000 0.000 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 12.686 M 1.71 % 12.473 M -3.62 % 12.941 M -4.68 % 13.576 M 80.70 % 7.513 M 18.46 % 6.342 M -5.03 % 6.678 M 8.51 % 6.154 M -5.06 % 6.482 M 20.19 % 5.393 M -2.83 % 5.550 M -0.16 % 5.559 M -6.41 % 5.940 M 17.58 % 5.052 M -6.20 % 5.386 M 12.54 % 4.786 M
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 0.000 0.000
Other total stockholders equity 47.720 M 326.91 % 11.178 M -76.58 % 47.736 M -0.23 % 47.845 M 329.60 % 11.137 M 2.37 % 10.879 M 1.46 % 10.722 M 0.00 % 10.722 M 0.00 % 10.722 M 0.26 % 10.694 M 0.00 % 10.694 M 0.000 0.000 100.00 % -32.413 M -3 038.62 % 1.103 M -9.14 % 1.214 M
Deferred tax liabilities non current 494.000 K 586.11 % 72.000 K -10.00 % 80.000 K -12.09 % 91.000 K 120.68 % -440.000 K -511.21 % 107.000 K 0.94 % 106.000 K -86.70 % 797.000 K 35.78 % 587.000 K 13.32 % 518.000 K 7.69 % 481.000 K -42.46 % 836.000 K -19.69 % 1.041 M 97.53 % 527.000 K -3.30 % 545.000 K -30.04 % 779.000 K
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 0.000
Total assets 169.712 M -5.67 % 179.913 M 2.81 % 174.995 M -1.00 % 176.769 M 3.05 % 171.545 M -0.54 % 172.468 M -0.34 % 173.049 M -2.29 % 177.111 M 7.09 % 165.385 M 0.20 % 165.056 M -6.74 % 176.990 M 2.30 % 173.012 M 1.58 % 170.313 M 26.11 % 135.054 M 13.05 % 119.462 M -3.11 % 123.299 M
2025-06-30 2025-03-31 2024-12-31 2024-09-30 2024-06-30 2024-03-31 2023-12-31 2023-09-30 2023-06-30 2023-03-31 2022-12-31 2022-09-30 2022-06-30 2021-12-31 2021-06-30 2020-12-31
2025-06-30 2025-03-31 2024-12-31 2024-09-30 2024-06-30 2024-03-31 2023-12-31 2023-09-30 2023-06-30 2023-03-31 2022-12-31 2022-09-30 2022-06-30 2022-03-31 2021-12-31 2021-09-30
Deferred income tax 0.000 0.000 0.000 0.000 0.000 0.000 -100.00 % 1.707 M 599.12 % -342.000 K 52.43 % -719.000 K -101.97 % -356.000 K -151.37 % 693.000 K 371.43 % 147.000 K -87.16 % 1.145 M 0.000 0.000 0.000
Stock based compensation 43.000 K -54.26 % 94.000 K 6.82 % 88.000 K -16.98 % 106.000 K -10.92 % 119.000 K -44.65 % 215.000 K 1.42 % 212.000 K 0.00 % 212.000 K -10.17 % 236.000 K -18.90 % 291.000 K -2.35 % 298.000 K -3.25 % 308.000 K 0.000 0.000 0.000 0.000
Change in working capital 14.781 M 227.64 % -11.580 M -1 052.30 % 1.216 M 452.73 % 220.000 K 102.34 % -9.419 M -587.02 % 1.934 M 105.72 % -33.827 M -204.60 % 32.338 M 557.68 % 4.917 M -18.57 % 6.038 M 158.99 % -10.236 M -238.12 % 7.411 M 133.45 % -22.158 M -59.64 % -13.880 M -1 598.92 % 926.000 K 113.79 % -6.716 M
Accounts receivables 14.266 M 197.01 % -14.705 M -140.51 % -6.114 M -119.22 % -2.789 M -176.68 % 3.637 M -8.64 % 3.981 M 131.79 % -12.523 M -424.68 % 3.857 M 30.88 % 2.947 M -40.60 % 4.961 M 192.66 % -5.354 M -430.70 % 1.619 M 0.000 0.000 0.000 0.000
Inventory 4.162 M -35.90 % 6.493 M 39.42 % 4.657 M 122.93 % 2.089 M 147.32 % -4.415 M -451.19 % -801.000 K -111.13 % 7.196 M 401.59 % -2.386 M -39.37 % -1.712 M -119.62 % 8.727 M 262.88 % -5.358 M -131.15 % -2.318 M 75.24 % -9.362 M 51.35 % -19.243 M -192.67 % -6.575 M -4.35 % -6.301 M
Accounts payables 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
Other working capital -3.647 M -8.28 % -3.368 M -226.00 % 2.673 M 190.54 % 920.000 K 110.65 % -8.641 M -1 343.31 % 695.000 K 101.69 % -41.023 M -218.14 % 34.724 M 423.82 % 6.629 M 346.52 % -2.689 M 44.87 % -4.878 M -150.14 % 9.729 M 176.03 % -12.796 M -338.60 % 5.363 M -28.50 % 7.501 M 1 907.47 % -415.000 K
Other non cash items -1.219 M -247.40 % 827.000 K -4.94 % 870.000 K 302.80 % -429.000 K -75.82 % -244.000 K -2 540.00 % 10.000 K -98.56 % 694.000 K 140.97 % 288.000 K -63.08 % 780.000 K 78.90 % 436.000 K -57.13 % 1.017 M -8.30 % 1.109 M 305.75 % -539.000 K -127.43 % -237.000 K -112.78 % 1.855 M 158.36 % 718.000 K
Net cash provided by operating activities 17.984 M 486.67 % -4.651 M -161.47 % 7.566 M 53.34 % 4.934 M 190.10 % -5.476 M -156.88 % 9.628 M 138.27 % -25.155 M -166.59 % 37.774 M 368.20 % 8.068 M -28.66 % 11.310 M 438.32 % -3.343 M -121.69 % 15.413 M 195.71 % -16.104 M -67.99 % -9.586 M -262.14 % 5.912 M 309.72 % -2.819 M
Investments in property plant and equipment -64.000 K 5.88 % -68.000 K 80.06 % -341.000 K -21.79 % -280.000 K 56.11 % -638.000 K -149.22 % -256.000 K -224.05 % -79.000 K 76.13 % -331.000 K 6.76 % -355.000 K -35.50 % -262.000 K 48.53 % -509.000 K 8.29 % -555.000 K -86.87 % -297.000 K 29.95 % -424.000 K 3.85 % -441.000 K -61.54 % -273.000 K
Acquisitions net -2.912 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 % -10.972 M 0.000 0.000 0.000
Purchases of investments -9.000 K -28.57 % -7.000 K 56.25 % -16.000 K 92.12 % -203.000 K -138.82 % -85.000 K -431.25 % -16.000 K 0.000 100.00 % -11.000 K -22.22 % -9.000 K 78.57 % -42.000 K -110.00 % -20.000 K -11.11 % -18.000 K 77.50 % -80.000 K -1 900.00 % -4.000 K 0.000 100.00 % -9.000 K
Sales maturities of investments 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 % 80.000 K 0.000 0.000 0.000
Other investing activites 115.000 K 105.36 % 56.000 K 5.66 % 53.000 K 20.45 % 44.000 K -4.35 % 46.000 K -31.34 % 67.000 K -10.67 % 75.000 K 177.78 % 27.000 K -15.63 % 32.000 K 540.00 % 5.000 K 150.00 % 2.000 K -50.00 % 4.000 K 105.00 % -80.000 K 0.000 -100.00 % 249.000 K 1 678.57 % 14.000 K
Net cash used for investing activites -2.870 M -15 005.26 % -19.000 K 93.75 % -304.000 K 30.75 % -439.000 K 35.16 % -677.000 K -351.33 % -150.000 K -3 650.00 % -4.000 K 98.73 % -315.000 K 5.12 % -332.000 K -11.04 % -299.000 K 43.26 % -527.000 K 7.38 % -569.000 K 94.99 % -11.349 M -2 551.64 % -428.000 K -148.84 % -172.000 K 23.21 % -224.000 K
Debt repayment -8.401 M -213.68 % 7.390 M 208.18 % -6.831 M -46.90 % -4.650 M -191.95 % 5.057 M 511.14 % -1.230 M -106.90 % 17.820 M 1 698.21 % -1.115 M 8.31 % -1.216 M -4.29 % -1.166 M 18.63 % -1.433 M 92.62 % -19.420 M -377.67 % 6.994 M 135.49 % 2.970 M 284.59 % -1.609 M -267.78 % 959.000 K
Common stock issued 238.000 K 0.000 0.000 0.000 0.000 0.000 -100.00 % 907.000 K 200.00 % -907.000 K 0.000 0.000 0.000 -100.00 % 11.980 M 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 0.000 0.000 0.000 0.000 0.000 0.000
Dividends paid -3.241 M -2 355.30 % -132.000 K 82.49 % -754.000 K 29.66 % -1.072 M 40.08 % -1.789 M -15.49 % -1.549 M 11.89 % -1.758 M -129.80 % -765.000 K 80.93 % -4.011 M -597.57 % -575.000 K 83.74 % -3.536 M -1 485.65 % -223.000 K 0.000 100.00 % -149.000 K 63.48 % -408.000 K -641.82 % -55.000 K
Other financing activites -1.613 M 68.70 % -5.153 M -426.35 % -979.000 K 13.21 % -1.128 M -5.92 % -1.065 M 68.24 % -3.353 M -100.78 % -1.670 M 92.07 % -21.053 M -1 843.95 % -1.083 M 86.37 % -7.947 M -325.77 % 3.520 M -68.10 % 11.035 M -47.48 % 21.011 M 3 040.66 % 669.000 K 2.45 % 653.000 K -5.77 % 693.000 K
Net cash used provided by financing activities -13.017 M -718.38 % 2.105 M 124.58 % -8.564 M -25.02 % -6.850 M -410.94 % 2.203 M 135.93 % -6.132 M -140.08 % 15.299 M 164.17 % -23.840 M -277.81 % -6.310 M 34.87 % -9.688 M -568.60 % -1.449 M 83.17 % -8.608 M -130.92 % 27.844 M 697.82 % 3.490 M 355.87 % -1.364 M -185.41 % 1.597 M
Effect of forex changes on cash 96.000 K 200.00 % 32.000 K 147.76 % -67.000 K -252.27 % 44.000 K 0.000 100.00 % -3.000 K -106.12 % 49.000 K 253.13 % -32.000 K -288.24 % 17.000 K -5.56 % 18.000 K -90.00 % 180.000 K 168.18 % -264.000 K -151.43 % -105.000 K 19.23 % -130.000 K -228.71 % 101.000 K 329.55 % -44.000 K
Net change in cash 2.193 M 186.58 % -2.533 M -85.03 % -1.369 M 40.76 % -2.311 M 41.49 % -3.950 M -218.16 % 3.343 M 134.07 % -9.811 M -172.21 % 13.587 M 841.58 % 1.443 M 7.61 % 1.341 M 126.09 % -5.139 M -186.05 % 5.972 M 1 988.11 % 286.000 K 104.30 % -6.654 M -248.63 % 4.477 M 400.47 % -1.490 M
Cash at beginning of period 5.801 M -30.39 % 8.334 M -14.11 % 9.703 M -19.24 % 12.014 M -24.74 % 15.964 M 26.49 % 12.621 M -43.74 % 22.432 M 153.61 % 8.845 M 19.49 % 7.402 M 22.13 % 6.061 M -45.88 % 11.200 M 114.23 % 5.228 M 5.79 % 4.942 M -57.38 % 11.596 M 62.89 % 7.119 M -17.31 % 8.609 M
Cash at end of period 7.994 M 37.80 % 5.801 M -30.39 % 8.334 M -14.11 % 9.703 M -19.24 % 12.014 M -24.74 % 15.964 M 26.49 % 12.621 M -43.74 % 22.432 M 153.61 % 8.845 M 19.49 % 7.402 M 22.13 % 6.061 M -45.88 % 11.200 M 114.23 % 5.228 M 5.79 % 4.942 M -57.38 % 11.596 M 62.89 % 7.119 M
Operating cash flow 17.984 M 486.67 % -4.651 M -161.47 % 7.566 M 53.34 % 4.934 M 190.10 % -5.476 M -156.88 % 9.628 M 138.27 % -25.155 M -166.59 % 37.774 M 368.20 % 8.068 M -28.66 % 11.310 M 438.32 % -3.343 M -121.69 % 15.413 M 195.71 % -16.104 M -67.99 % -9.586 M -262.14 % 5.912 M 309.72 % -2.819 M
Capital expenditure -78.000 K 48.68 % -152.000 K 56.32 % -348.000 K -18.77 % -293.000 K 54.43 % -643.000 K -151.17 % -256.000 K -224.05 % -79.000 K 76.13 % -331.000 K 6.76 % -355.000 K -35.50 % -262.000 K 48.53 % -509.000 K 8.29 % -555.000 K -86.87 % -297.000 K 29.95 % -424.000 K 3.85 % -441.000 K -61.54 % -273.000 K
Free CashFlow 17.906 M 472.81 % -4.803 M -166.54 % 7.218 M 55.53 % 4.641 M 175.85 % -6.119 M -165.29 % 9.372 M 137.14 % -25.234 M -167.39 % 37.443 M 385.45 % 7.713 M -30.19 % 11.048 M 386.81 % -3.852 M -125.93 % 14.858 M 190.59 % -16.401 M -63.85 % -10.010 M -282.96 % 5.471 M 276.94 % -3.092 M
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Date Form 10K
2024
2023
2022
2021
2020
2019
2018