MARP.MI

Marzocchi Pompe S.p.A. MARP.MI

Finances

2024 2023 2022 2021 2020 2019 2018 2017 2016 2015
Revenue 40.038 M -19.51 % 49.746 M 2.54 % 48.513 M 19.67 % 40.538 M 18.17 % 34.303 M -14.28 % 40.017 M -9.56 % 44.247 M 12.40 % 39.366 M 24.25 % 31.684 M 4.75 % 30.248 M
Net income 329.415 K -89.04 % 3.006 M 53.21 % 1.962 M 23.36 % 1.591 M 594.96 % 228.873 K 12.65 % 203.172 K -93.06 % 2.926 M 49.67 % 1.955 M 141.06 % 811.000 K -52.43 % 1.705 M
Income before tax 407.114 K -89.04 % 3.716 M 43.99 % 2.580 M 32.46 % 1.948 M 219.20 % -1.634 M -4 429.14 % -36.085 K -101.05 % 3.423 M 47.61 % 2.319 M 314.11 % 560.000 K -77.91 % 2.535 M
Income before tax ratio 0.01 -86.39 % 0.07 40.42 % 0.05 10.68 % 0.05 200.87 % -0.05 -5 183.56 % 0.00 -101.17 % 0.08 31.32 % 0.06 233.30 % 0.02 -78.91 % 0.08
EBITDA 3.903 M -51.57 % 8.059 M 7.79 % 7.477 M 6.22 % 7.039 M 88.55 % 3.733 M -34.06 % 5.661 M -38.65 % 9.228 M 56.33 % 5.903 M 47.79 % 3.994 M -21.44 % 5.084 M
Net income ratio 0.01 -86.38 % 0.06 49.41 % 0.04 3.08 % 0.04 488.08 % 0.01 31.41 % 0.01 -92.32 % 0.07 33.16 % 0.05 94.02 % 0.03 -54.59 % 0.06
Ratio EBITDA 0.10 -39.83 % 0.16 5.12 % 0.15 -11.24 % 0.17 59.55 % 0.11 -23.07 % 0.14 -32.17 % 0.21 39.09 % 0.15 18.95 % 0.13 -25.00 % 0.17
Gross profit ratio 0.74 -0.54 % 0.75 61.12 % 0.46 -10.32 % 0.52 7.49 % 0.48 -2.09 % 0.49 -5.08 % 0.52 -0.25 % 0.52 0.93 % 0.51 11.94 % 0.46
Weighted average shs out dil 6.539 M 0.68 % 6.495 M -0.68 % 6.539 M 0.00 % 6.539 M 0.00 % 6.539 M 0.00 % 6.539 M 0.00 % 6.539 M 0.00 % 6.539 M 0.00 % 6.539 M 0.00 % 6.539 M
Weighted average shs out 6.539 M 0.68 % 6.495 M -0.68 % 6.539 M 0.00 % 6.539 M 0.00 % 6.539 M 0.00 % 6.539 M 0.00 % 6.539 M 0.00 % 6.539 M 0.00 % 6.539 M 0.00 % 6.539 M
EPS diluted 0.05 -89.04 % 0.46 53.33 % 0.30 25.00 % 0.24 585.71 % 0.04 12.54 % 0.03 -93.09 % 0.45 50.00 % 0.30 150.00 % 0.12 -54.02 % 0.26
Earnings per share 0.05 -89.04 % 0.46 53.33 % 0.30 25.00 % 0.24 585.71 % 0.04 12.54 % 0.03 -93.09 % 0.45 50.00 % 0.30 150.00 % 0.12 -54.02 % 0.26
Gross profit 29.693 M -19.95 % 37.093 M 65.21 % 22.452 M 7.32 % 20.920 M 27.02 % 16.469 M -16.07 % 19.622 M -14.16 % 22.858 M 12.11 % 20.388 M 25.40 % 16.258 M 17.25 % 13.866 M
Income tax expense 77.699 K -89.05 % 709.541 K 14.74 % 618.375 K 72.95 % 357.543 K 119.19 % -1.863 M -678.75 % -239.257 K -148.24 % 496.000 K 36.26 % 364.000 K 245.02 % -251.000 K -130.24 % 830.000 K
Cost of revenue 10.345 M -18.23 % 12.653 M -51.45 % 26.061 M 32.84 % 19.618 M 10.00 % 17.834 M -12.56 % 20.395 M -4.65 % 21.389 M 12.70 % 18.978 M 23.03 % 15.426 M -5.84 % 16.382 M
General and administrative expenses 1.403 M 5.02 % 1.336 M -79.83 % 6.625 M 25.32 % 5.286 M 16.32 % 4.545 M -6.10 % 4.840 M -12.56 % 5.535 M -3.85 % 5.757 M -40.86 % 9.735 M 13.86 % 8.550 M
Selling and marketing expenses 591.157 K -28.32 % 824.705 K 537.77 % 129.310 K 193.21 % 44.101 K -53.02 % 93.867 K -25.72 % 126.367 K 67.44 % 75.470 K -56.78 % 174.634 K 0.000 0.000
Other expenses 25.980 M -12.46 % 29.678 M 57.88 % 18.798 M 1.09 % 18.595 M 6.01 % 17.541 M -5.55 % 18.572 M -2.25 % 18.999 M 8.68 % 17.481 M 15.31 % 15.160 M 0.000
Operating expenses 27.975 M -12.14 % 31.839 M 69.37 % 18.798 M 1.09 % 18.595 M 6.01 % 17.541 M -5.55 % 18.572 M -2.25 % 18.999 M 8.68 % 17.481 M 15.31 % 15.160 M 38.57 % 10.940 M
Cost and expenses 38.320 M -15.80 % 45.509 M 1.45 % 44.859 M 17.39 % 38.213 M 8.02 % 35.374 M -9.22 % 38.967 M -3.52 % 40.388 M 10.78 % 36.459 M 19.20 % 30.586 M 11.95 % 27.322 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
Selling general and administrative expenses 1.995 M -7.70 % 2.161 M -68.00 % 6.754 M 26.71 % 5.330 M 14.92 % 4.638 M -6.60 % 4.966 M -11.49 % 5.611 M -5.41 % 5.932 M -39.07 % 9.735 M 13.86 % 8.550 M
Interest income 259.896 K 6 873.33 % 3.727 K 32.78 % 2.807 K 465.93 % 496.000 -34.82 % 761.000 -89.29 % 7.103 K 0.00 % 7.103 K -97.77 % 318.861 K 0.000 -100.00 % 391.000 K
Interest expense 933.461 K 25.53 % 743.633 K 193.73 % 253.167 K 60.19 % 158.042 K -28.30 % 220.415 K -58.57 % 532.077 K -9.68 % 589.109 K 0.000 0.000 0.000
Depreciation and amortization 2.627 M -27.03 % 3.600 M -20.82 % 4.547 M -5.80 % 4.827 M -6.22 % 5.147 M -0.35 % 5.165 M -1.38 % 5.237 M 57.38 % 3.328 M 14.92 % 2.896 M 29.98 % 2.228 M
Operating income 1.718 M -67.29 % 5.254 M 40.70 % 3.734 M 66.19 % 2.247 M 264.67 % -1.364 M -313.46 % 639.212 K -83.43 % 3.858 M 32.71 % 2.907 M 165.00 % 1.097 M -61.59 % 2.856 M
Operating income ratio 0.04 -59.36 % 0.11 37.22 % 0.08 38.87 % 0.06 239.34 % -0.04 -349.02 % 0.02 -81.68 % 0.09 18.07 % 0.07 113.28 % 0.03 -63.33 % 0.09
Total other income expenses net -1.311 M 14.76 % -1.538 M -743.33 % 239.091 K 330.10 % -103.907 K 40.34 % -174.172 K 74.21 % -675.297 K -8 170.63 % -8.165 K 98.61 % -588.000 K -9.29 % -538.000 K -67.60 % -321.000 K
2024 2023 2022 2021 2020 2019 2018 2017 2016 2015
2024 2023 2022 2021 2020 2019 2018 2017 2016 2015
Net debt 11.321 M 35.70 % 8.343 M 2.94 % 8.105 M 3.41 % 7.838 M -15.28 % 9.252 M -26.19 % 12.535 M -34.77 % 19.218 M 33.37 % 14.410 M 10.32 % 13.062 M 104.51 % 6.387 M
Total investments 819.016 K 1.52 % 806.769 K 0.91 % 799.522 K -8.10 % 870.014 K 24.53 % 698.642 K -3.36 % 722.933 K -15.35 % 854.000 K 24.31 % 687.000 K 44.63 % 475.000 K -54.28 % 1.039 M
Total debt 16.006 M -21.05 % 20.275 M 34.87 % 15.032 M 11.20 % 13.519 M -19.99 % 16.896 M -2.10 % 17.258 M -32.82 % 25.691 M 59.45 % 16.112 M 17.61 % 13.700 M 83.79 % 7.454 M
Accumulated other comprehensive income loss 0.000 0.000 -100.00 % 8.519 M 24.95 % 6.818 M 25.27 % 5.443 M -4.09 % 5.675 M -5.17 % 5.984 M -23.24 % 7.796 M 0.000 0.000
Retained earnings 329.415 K -89.04 % 3.006 M 53.21 % 1.962 M 23.36 % 1.591 M 594.96 % 228.873 K 12.65 % 203.172 K -93.06 % 2.926 M 49.67 % 1.955 M 141.06 % 811.000 K 0.000
Common stock 6.539 M 0.00 % 6.539 M 0.00 % 6.539 M 0.00 % 6.539 M 0.00 % 6.539 M 0.00 % 6.539 M 30.78 % 5.000 M 0.00 % 5.000 M 0.00 % 5.000 M -51.07 % 10.218 M
Total equity 21.880 M -4.59 % 22.932 M 7.16 % 21.400 M 8.11 % 19.796 M 7.33 % 18.444 M -1.24 % 18.676 M 70.03 % 10.984 M -14.16 % 12.796 M 18.21 % 10.825 M 5.94 % 10.218 M
Other non current liabilities 2.256 M -1.93 % 2.301 M -7.22 % 2.480 M 7.31 % 2.311 M -4.86 % 2.429 M 118.04 % 1.114 M 1 651.64 % -71.788 K -106.86 % 1.046 M 6.84 % 979.000 K -78.90 % 4.640 M
Long term debt 10.969 M -23.41 % 14.321 M 36.83 % 10.466 M 17.03 % 8.943 M -25.52 % 12.007 M 0.92 % 11.898 M -48.91 % 23.289 M 98.34 % 11.742 M 20.68 % 9.730 M 126.75 % 4.291 M
Total non current liabilities 13.326 M -19.82 % 16.622 M 24.98 % 13.299 M 10.34 % 12.053 M -19.44 % 14.961 M -9.59 % 16.548 M -33.49 % 24.879 M 43.35 % 17.356 M 13.51 % 15.290 M 71.20 % 8.931 M
Other current liabilities 3.731 M -3.23 % 3.856 M -0.75 % 3.885 M -11.45 % 4.387 M 22.46 % 3.582 M -26.65 % 4.884 M 62.87 % 2.999 M 32.57 % 2.262 M 9.38 % 2.068 M -33.57 % 3.113 M
Deferred revenue 0.000 0.000 -100.00 % 391.458 K -89.39 % 3.688 M 40.24 % 2.630 M -7.97 % 2.858 M 276.51 % 759.000 K 37.50 % 552.000 K 80.98 % 305.000 K 0.000
Short term debt 5.038 M -15.39 % 5.954 M 26.36 % 4.712 M 1.61 % 4.637 M -10.67 % 5.191 M -3.16 % 5.361 M -33.28 % 8.034 M 83.86 % 4.370 M 10.08 % 3.970 M 25.51 % 3.163 M
Total current liabilities 12.785 M -17.57 % 15.510 M -1.00 % 15.667 M -3.72 % 16.272 M 23.15 % 13.213 M 0.23 % 13.183 M -14.11 % 15.348 M 17.82 % 13.027 M 10.20 % 11.821 M 15.15 % 10.266 M
Total liabilities 26.111 M -18.74 % 32.132 M 10.93 % 28.966 M 2.26 % 28.325 M 0.54 % 28.174 M -5.24 % 29.731 M -26.09 % 40.227 M 32.40 % 30.383 M 12.07 % 27.111 M 41.23 % 19.197 M
Other non current assets 194.334 K -82.49 % 1.110 M 368.20 % -413.882 K -182.73 % 500.251 K -0.03 % 500.415 K 0.23 % 499.263 K 200 607.23 % -249.000 -100.01 % 1.683 M 17.28 % 1.435 M 0.000
Long term investments 819.016 K 0.54 % 814.638 K -47.35 % 1.547 M 75.15 % 883.330 K 24.17 % 711.405 K -3.38 % 736.308 K -45.10 % 1.341 M 11.45 % 1.203 M 20.22 % 1.001 M -3.66 % 1.039 M
Intangible assets 591.755 K -19.67 % 736.693 K -30.83 % 1.065 M -18.46 % 1.306 M -13.03 % 1.502 M 6.91 % 1.405 M 104.79 % 686.000 K 53.81 % 446.000 K -41.39 % 761.000 K 16.36 % 654.000 K
GoodWill 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Goodwill and intangible assets 591.755 K -19.67 % 736.693 K -30.83 % 1.065 M -18.46 % 1.306 M -13.03 % 1.502 M 6.91 % 1.405 M 104.79 % 686.000 K 53.81 % 446.000 K -41.39 % 761.000 K 16.36 % 654.000 K
Property plant equipment net 15.982 M 5.45 % 15.156 M 1.67 % 14.907 M -9.05 % 16.391 M -16.85 % 19.712 M -15.99 % 23.465 M -8.89 % 25.755 M 15.43 % 22.312 M 9.49 % 20.379 M 44.43 % 14.110 M
Total non current assets 17.843 M 0.14 % 17.818 M 1.74 % 17.512 M -11.54 % 19.797 M -17.16 % 23.899 M -11.29 % 26.940 M -4.56 % 28.227 M 15.49 % 24.441 M 8.27 % 22.575 M 42.85 % 15.803 M
Other current assets 1.949 M -14.51 % 2.280 M -79.78 % 11.281 M 943.90 % 1.081 M 508.26 % 177.661 K -64.32 % 497.866 K -93.18 % 7.301 M 3 141.90 % 225.214 K -65.08 % 645.000 K 46.92 % 439.000 K
Short term investments 0.000 100.00 % -7.869 K -106.59 % 119.420 K 996.82 % -13.316 K -4.33 % -12.763 K 4.58 % -13.375 K 97.25 % -487.153 K 5.66 % -516.403 K 1.82 % -526.000 K 0.000
cash and cash equivalents 4.685 M -60.74 % 11.932 M 72.24 % 6.927 M 21.95 % 5.681 M -25.69 % 7.645 M 61.85 % 4.723 M -27.03 % 6.473 M 280.32 % 1.702 M 166.77 % 638.000 K -40.21 % 1.067 M
Cash and short term investments 4.685 M -60.96 % 12.000 M 73.22 % 6.927 M 21.95 % 5.681 M -25.69 % 7.645 M 61.85 % 4.723 M -27.03 % 6.473 M 280.32 % 1.702 M 166.77 % 638.000 K -40.21 % 1.067 M
Total current assets 30.179 M -20.16 % 37.800 M 15.05 % 32.854 M 16.00 % 28.323 M 24.66 % 22.720 M 5.83 % 21.467 M -6.60 % 22.984 M 22.65 % 18.739 M 21.99 % 15.361 M 12.85 % 13.612 M
Inventory 9.963 M -22.13 % 12.794 M -8.66 % 14.008 M 15.57 % 12.121 M 57.96 % 7.673 M -5.49 % 8.119 M -12.80 % 9.311 M 17.47 % 7.926 M 16.82 % 6.785 M 32.21 % 5.132 M
Net receivables 13.581 M 25.83 % 10.793 M 20.70 % 8.942 M -5.29 % 9.441 M 11.26 % 8.486 M 4.41 % 8.127 M 8 105.95 % -101.512 K -101.14 % 8.886 M 17.74 % 7.547 M 8.22 % 6.974 M
Tax assets 255.799 K 2.33 % 249.983 K -38.48 % 406.352 K -43.31 % 716.776 K -51.33 % 1.473 M 76.49 % 834.424 K 87.47 % 445.096 K 136.99 % -1.203 M -20.22 % -1.001 M 0.000
Other assets -30.000 K 94.58 % -553.441 K 0.000 0.000 0.000 -100.00 % 2.000 0.000 100.00 % -1.000 K 0.000 0.000
Account payables 3.602 M -29.93 % 5.140 M -15.81 % 6.105 M -7.82 % 6.623 M 60.58 % 4.125 M 13.71 % 3.627 M -31.80 % 5.319 M -8.97 % 5.843 M 6.66 % 5.478 M 37.29 % 3.990 M
Tax payables 414.352 K -26.06 % 560.357 K -31.58 % 819.004 K 31.09 % 624.757 K 98.59 % 314.600 K -48.36 % 609.260 K -19.73 % 759.000 K 37.50 % 552.000 K 80.98 % 305.000 K 0.000
Deferred revenue non current 0.000 0.000 -100.00 % 395.306 K -19.69 % 492.195 K -31.23 % 715.737 K 52.50 % 469.341 K 360.14 % 102.000 K -67.41 % 313.000 K 7.19 % 292.000 K 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 0.000 0.000 -100.00 % 145.718 K 136.21 % 61.690 K -79.57 % 302.004 K 0.000 -100.00 % 5.633 M -20.55 % 7.090 M 36.93 % 5.178 M 0.000
Preferred stock 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Other total stockholders equity 15.012 M 12.14 % 13.387 M 3.78 % 12.899 M 100.33 % 6.439 M -44.86 % 11.677 M -2.16 % 11.934 M 4 031 961.82 % -296.000 99.98 % -1.955 M 0.000 0.000
Deferred tax liabilities non current 101.465 K 0.000 -100.00 % 249.588 K -42.02 % 430.505 K 4.05 % 413.733 K -76.60 % 1.768 M -62.06 % 4.661 M 9.54 % 4.255 M -0.79 % 4.289 M 0.000
Other liabilities 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Total assets 47.992 M -12.84 % 55.064 M 9.33 % 50.366 M 4.67 % 48.121 M 3.22 % 46.618 M -3.69 % 48.407 M -5.48 % 51.211 M 18.60 % 43.179 M 13.82 % 37.936 M 28.97 % 29.415 M
2024 2023 2022 2021 2020 2019 2018 2017 2016 2015
2024 2023 2022 2021 2020 2019 2018 2017 2016 2015
Deferred income tax 0.000 0.000 -100.00 % 342.023 K 303.18 % 84.831 K 112.01 % -706.382 K -1 287.51 % -50.910 K 0.000 0.000 0.000 0.000
Stock based compensation 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Change in working capital -1.711 M 43.64 % -3.035 M 0.25 % -3.043 M 10.89 % -3.415 M -261.13 % 2.119 M 182.76 % -2.561 M -299.91 % 1.281 M 142.18 % -3.037 M -26.59 % -2.399 M 0.000
Accounts receivables -193.310 K -113.24 % 1.460 M 365.59 % -549.737 K 72.31 % -1.985 M -235.74 % 1.463 M 191.06 % -1.606 M -162.85 % 2.555 M 210.13 % -2.320 M -627.39 % -319.000 K 0.000
Inventory 2.817 M 132.12 % 1.214 M 168.92 % -1.761 M 59.81 % -4.381 M -1 978.26 % 233.251 K -81.27 % 1.245 M 184.26 % -1.478 M -6.18 % -1.392 M 15.79 % -1.653 M 0.000
Accounts payables 0.000 100.00 % -880.000 K -18.88 % -740.255 K -130.33 % 2.441 M 311.89 % 592.616 K 133.47 % -1.771 M -807.25 % 250.361 K -41.33 % 426.756 K 0.000 0.000
Other working capital -4.334 M 10.24 % -4.829 M -59 927.22 % 8.071 K -98.42 % 510.759 K 401.91 % -169.178 K 60.60 % -429.369 K -115.56 % 2.759 M 267.72 % -1.645 M -285.25 % -427.000 K 0.000
Other non cash items -127.906 K -191.37 % 139.990 K -39.11 % 229.903 K -4.14 % 239.837 K 113.28 % -1.806 M -1 576.37 % 122.342 K 135.27 % 52.000 K -97.45 % 2.036 M 3.51 % 1.967 M 215.37 % -1.705 M
Net cash provided by operating activities 1.118 M -69.88 % 3.711 M 0.40 % 3.696 M 14.00 % 3.242 M -43.01 % 5.689 M 94.18 % 2.930 M -69.15 % 9.496 M 121.77 % 4.282 M 30.75 % 3.275 M 0.000
Investments in property plant and equipment -2.817 M -7.71 % -2.615 M 25.69 % -3.519 M -218.39 % -1.105 M 44.81 % -2.003 M 39.09 % -3.288 M -23.10 % -2.671 M 49.53 % -5.292 M 42.93 % -9.273 M 0.000
Acquisitions net 0.000 0.000 -100.00 % 604.724 K 467.53 % -164.537 K -160.24 % 273.125 K 2 052.79 % 12.687 K 7.28 % 11.826 K -84.64 % 77.000 K 0.000 0.000
Purchases of investments -468.000 0.000 100.00 % -1.035 K 99.63 % -278.895 K -51 643.04 % -539.000 95.75 % -12.687 K 47.14 % -24.000 K 91.70 % -289.000 K 0.000 0.000
Sales maturities of investments 0.000 -100.00 % 507.063 K 7 708.18 % 6.494 K 450.34 % 1.180 K 100.43 % -273.125 K -36 958.97 % 741.000 -89.78 % 7.249 K -39.59 % 12.000 K 0.000 0.000
Other investing activites -82.263 K 71.71 % -290.755 K -3 338.17 % 8.979 K -94.78 % 171.952 K -39.26 % 283.102 K 1 202.76 % 21.731 K 20.73 % 18.000 K -91.35 % 208.000 K 323.66 % -93.000 K 0.000
Net cash used for investing activites -2.900 M -20.87 % -2.399 M 17.28 % -2.900 M -110.82 % -1.376 M 20.03 % -1.720 M 47.32 % -3.266 M -21.99 % -2.677 M 49.34 % -5.284 M 43.58 % -9.366 M 0.000
Debt repayment -4.476 M -185.37 % 5.243 M 246.31 % 1.514 M 142.98 % -3.522 M -553.91 % -538.657 K 93.94 % -8.886 M -193.03 % 9.551 M 295.83 % 2.413 M 0.000 0.000
Common stock issued 0.000 0.000 0.000 0.000 0.000 -100.00 % 8.016 M 146 825.49 % 5.456 K -45.44 % 10.000 K 0.000 0.000
Common stock repurchased -87.423 K -16.88 % -74.797 K 22.48 % -96.491 K -305.08 % -23.820 K 62.32 % -63.215 K 0.000 0.000 0.000 0.000 0.000
Dividends paid -1.298 M -32.84 % -976.950 K -24.79 % -782.850 K -99.54 % -392.325 K 0.00 % -392.325 K 21.54 % -500.000 K 95.48 % -11.056 M 0.000 0.000 0.000
Other financing activites 395.663 K 179.39 % -498.367 K -171.12 % -183.815 K -270.20 % 108.002 K 192.75 % -116.445 K -158.77 % -45.000 K 91.80 % -548.473 K -53.63 % -357.000 K 41.48 % -610.000 K 0.000
Net cash used provided by financing activities -5.465 M -248.01 % 3.692 M 719.34 % 450.661 K 111.77 % -3.830 M -265.70 % -1.047 M 25.95 % -1.414 M 30.94 % -2.048 M -199.13 % 2.066 M 438.69 % -610.000 K 0.000
Effect of forex changes on cash 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Net change in cash -7.247 M -244.81 % 5.005 M 301.43 % 1.247 M 163.48 % -1.964 M -167.22 % 2.921 M 266.91 % -1.750 M -136.69 % 4.771 M 348.40 % 1.064 M 115.88 % -6.701 M 0.000
Cash at beginning of period 11.932 M 72.24 % 6.927 M 21.95 % 5.681 M -25.69 % 7.645 M 61.85 % 4.723 M -27.04 % 6.473 M 280.34 % 1.702 M 166.77 % 638.000 K 0.000 0.000
Cash at end of period 4.685 M -60.74 % 11.932 M 72.24 % 6.927 M 21.95 % 5.681 M -25.69 % 7.645 M 61.85 % 4.723 M -27.03 % 6.473 M 280.32 % 1.702 M 125.40 % -6.701 M 0.000
Operating cash flow 1.118 M -69.88 % 3.711 M 0.40 % 3.696 M 14.00 % 3.242 M -43.01 % 5.689 M 94.18 % 2.930 M -69.15 % 9.496 M 121.77 % 4.282 M 30.75 % 3.275 M 0.000
Capital expenditure -2.916 M -0.35 % -2.906 M 17.43 % -3.519 M -218.39 % -1.105 M 44.81 % -2.003 M 39.09 % -3.288 M -23.10 % -2.671 M 49.53 % -5.292 M 42.93 % -9.273 M 0.000
Free CashFlow -1.798 M -323.40 % 805.032 K 355.21 % 176.849 K -91.72 % 2.137 M -42.03 % 3.686 M 1 128.68 % -358.345 K -105.25 % 6.825 M 775.74 % -1.010 M 83.16 % -5.998 M 0.000
2024 2023 2022 2021 2020 2019 2018 2017 2016 2015
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
Revenue 18.322 M -16.78 % 22.017 M -4.98 % 23.172 M -12.97 % 26.626 M 15.46 % 23.062 M -10.02 % 25.629 M 24.00 % 20.669 M 3.33 % 20.004 M 7.44 % 18.618 M 19.18 % 15.622 M -17.67 % 18.975 M -10.65 % 21.238 M 5.87 % 20.060 M -12.08 % 22.816 M
Net income -983.830 K -174.92 % 1.313 M 45.53 % 902.392 K -57.10 % 2.104 M 103.09 % 1.036 M 11.82 % 926.286 K 66.56 % 556.114 K -46.24 % 1.034 M -10.20 % 1.152 M 224.80 % -923.062 K -42.09 % -649.632 K -176.18 % 852.804 K 325.70 % 200.328 K -92.65 % 2.726 M
Income before tax -1.015 M -171.36 % 1.422 M 38.41 % 1.027 M -61.79 % 2.688 M 103.00 % 1.324 M 5.44 % 1.256 M 76.96 % 709.824 K -42.68 % 1.238 M 428.69 % -376.736 K 70.04 % -1.258 M -32.12 % -951.884 K -203.94 % 915.798 K 108.35 % 439.540 K -85.27 % 2.983 M
Income before tax ratio -0.06 -185.76 % 0.06 45.67 % 0.04 -56.10 % 0.10 75.82 % 0.06 17.17 % 0.05 42.71 % 0.03 -44.52 % 0.06 405.93 % -0.02 74.86 % -0.08 -60.48 % -0.05 -216.34 % 0.04 96.79 % 0.02 -83.24 % 0.13
EBITDA 109.126 K -96.78 % 3.392 M 30.69 % 2.595 M -46.63 % 4.862 M 56.14 % 3.114 M -9.88 % 3.455 M 24.42 % 2.777 M -24.88 % 3.697 M 46.14 % 2.530 M 118.55 % 1.157 M -46.20 % 2.151 M -40.59 % 3.621 M -3.05 % 3.735 M -24.29 % 4.933 M
Net income ratio -0.05 -190.03 % 0.06 53.16 % 0.04 -50.71 % 0.08 75.90 % 0.04 24.28 % 0.04 34.33 % 0.03 -47.97 % 0.05 -16.42 % 0.06 204.71 % -0.06 -72.59 % -0.03 -185.26 % 0.04 302.09 % 0.01 -91.64 % 0.12
Ratio EBITDA 0.01 -96.13 % 0.15 37.55 % 0.11 -38.67 % 0.18 35.24 % 0.14 0.15 % 0.13 0.35 % 0.13 -27.30 % 0.18 36.02 % 0.14 83.38 % 0.07 -34.65 % 0.11 -33.50 % 0.17 -8.43 % 0.19 -13.88 % 0.22
Gross profit ratio 0.44 114.31 % 0.21 -56.53 % 0.48 111.98 % 0.22 -52.51 % 0.47 2.41 % 0.46 -8.35 % 0.50 -5.52 % 0.53 10.32 % 0.48 0.60 % 0.48 4.55 % 0.46 -12.83 % 0.53 7.17 % 0.49 -4.33 % 0.51
Weighted average shs out dil 6.473 M -1.00 % 6.539 M 0.68 % 6.495 M -0.68 % 6.539 M 0.40 % 6.513 M -0.10 % 6.520 M -0.23 % 6.535 M -0.06 % 6.539 M 0.00 % 6.539 M 0.00 % 6.539 M 0.00 % 6.539 M 30.78 % 5.000 M -13.34 % 5.769 M -9.09 % 6.346 M
Weighted average shs out 6.473 M -1.00 % 6.539 M 0.68 % 6.495 M -0.68 % 6.539 M 0.40 % 6.513 M -0.10 % 6.520 M -0.23 % 6.535 M -0.07 % 6.539 M 0.00 % 6.539 M 0.00 % 6.539 M 0.00 % 6.539 M 30.78 % 5.000 M -13.34 % 5.769 M -9.09 % 6.346 M
EPS diluted -0.15 -176.00 % 0.20 43.88 % 0.14 -56.56 % 0.32 101.26 % 0.16 11.97 % 0.14 66.67 % 0.09 -46.14 % 0.16 -10.22 % 0.18 224.79 % -0.14 -42.05 % -0.10 -158.26 % 0.17 401.76 % 0.03 -92.09 % 0.43
Earnings per share -0.15 -176.00 % 0.20 43.88 % 0.14 -56.56 % 0.32 101.26 % 0.16 11.97 % 0.14 66.67 % 0.09 -46.14 % 0.16 -10.22 % 0.18 224.79 % -0.14 -42.05 % -0.10 -158.26 % 0.17 401.76 % 0.03 -92.09 % 0.43
Gross profit 8.109 M 78.34 % 4.547 M -58.70 % 11.009 M 84.48 % 5.968 M -45.17 % 10.885 M -7.85 % 11.812 M 13.64 % 10.394 M -2.38 % 10.647 M 18.52 % 8.983 M 19.89 % 7.492 M -13.93 % 8.705 M -22.11 % 11.176 M 13.46 % 9.850 M -15.89 % 11.711 M
Income tax expense -30.772 K -128.37 % 108.471 K -13.06 % 124.768 K -78.66 % 584.773 K 102.65 % 288.558 K -12.51 % 329.818 K 114.57 % 153.710 K -24.59 % 203.834 K -86.67 % 1.529 M 356.94 % 334.544 K 10.68 % 302.252 K 379.83 % 62.992 K -73.67 % 239.212 K -7.00 % 257.222 K
Cost of revenue 10.213 M -41.54 % 17.470 M 43.64 % 12.163 M -41.13 % 20.659 M 69.66 % 12.177 M -11.88 % 13.818 M 34.47 % 10.275 M 9.82 % 9.357 M -2.89 % 9.635 M 18.52 % 8.130 M -20.84 % 10.270 M 2.07 % 10.062 M -1.45 % 10.209 M -8.06 % 11.105 M
General and administrative expenses 7.650 M 0.000 -100.00 % 8.127 M 159.69 % 3.129 M -58.80 % 7.596 M -5.64 % 8.050 M 11.08 % 7.247 M -0.68 % 7.297 M 17.79 % 6.195 M -5.16 % 6.531 M 1.88 % 6.411 M -11.67 % 7.258 M 8.56 % 6.686 M -1.76 % 6.806 M
Selling and marketing expenses 134.958 K 0.000 -100.00 % 96.492 K 36.47 % 70.704 K -32.58 % 104.872 K 329.13 % 24.438 K -22.71 % 31.620 K 153.32 % 12.482 K -37.28 % 19.900 K -73.10 % 73.968 K 90.06 % 38.918 K -55.50 % 87.450 K 45.27 % 60.200 K 294.24 % 15.270 K
Other expenses 0.000 100.00 % -154.300 K -105.21 % 2.964 M 1 592.78 % -198.550 K 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Operating expenses 7.785 M 147.13 % 3.150 M -67.28 % 9.628 M 183.28 % 3.399 M -63.77 % 9.380 M -10.55 % 10.486 M 9.02 % 9.618 M 3.16 % 9.324 M 0.76 % 9.254 M 7.07 % 8.643 M -8.20 % 9.414 M -5.65 % 9.978 M 9.93 % 9.076 M 5.67 % 8.589 M
Cost and expenses 17.998 M -12.72 % 20.620 M -5.37 % 21.790 M -9.42 % 24.057 M 11.60 % 21.557 M -11.30 % 24.304 M 22.17 % 19.894 M 6.50 % 18.680 M -1.10 % 18.889 M 12.62 % 16.772 M -14.80 % 19.685 M -1.77 % 20.039 M 3.91 % 19.286 M -2.07 % 19.694 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
Selling general and administrative expenses 7.785 M 159.86 % 2.996 M -63.57 % 8.223 M 156.97 % 3.200 M -58.44 % 7.701 M -4.63 % 8.074 M 10.93 % 7.279 M -0.42 % 7.309 M 17.62 % 6.214 M -5.92 % 6.605 M 2.41 % 6.450 M -12.19 % 7.345 M 8.88 % 6.746 M -1.10 % 6.821 M
Interest income 0.000 0.000 0.000 -100.00 % 3.603 K -97.96 % 176.508 K 154.14 % 69.452 K 5.39 % 65.898 K -22.42 % 84.938 K -19.75 % 105.840 K -1.42 % 107.368 K -55.68 % 242.248 K -14.35 % 282.828 K -15.39 % 334.266 K 141.27 % 138.542 K
Interest expense 789.408 K 46.52 % 538.757 K 0.000 -100.00 % 318.338 K 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Depreciation and amortization 1.081 M -24.45 % 1.431 M -5.59 % 1.516 M -18.30 % 1.855 M -6.10 % 1.976 M -12.27 % 2.252 M 13.82 % 1.979 M -19.01 % 2.443 M -16.42 % 2.923 M 31.43 % 2.224 M -10.41 % 2.483 M 2.23 % 2.428 M -29.30 % 3.435 M 90.56 % 1.803 M
Operating income 323.724 K -76.82 % 1.397 M 29.42 % 1.079 M -58.00 % 2.569 M 125.73 % 1.138 M -5.41 % 1.203 M 50.70 % 798.450 K -36.31 % 1.254 M 418.50 % -393.582 K 63.10 % -1.067 M -222.14 % -331.094 K -127.76 % 1.193 M 297.29 % 300.208 K -90.41 % 3.131 M
Operating income ratio 0.02 -72.15 % 0.06 36.21 % 0.05 -51.73 % 0.10 95.51 % 0.05 5.12 % 0.05 21.53 % 0.04 -38.36 % 0.06 396.45 % -0.02 69.04 % -0.07 -291.28 % -0.02 -131.07 % 0.06 275.25 % 0.01 -89.09 % 0.14
Total other income expenses net -1.338 M -5 441.34 % 25.056 K -97.43 % 975.912 K 717.89 % 119.321 K -35.92 % 186.216 K 252.17 % 52.876 K 159.66 % -88.626 K -480.01 % -15.280 K -190.70 % 16.846 K 108.82 % -191.018 K 69.23 % -620.790 K -124.19 % -276.900 K -298.73 % 139.332 K 194.46 % -147.498 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
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
Net debt 11.321 M -9.30 % 12.483 M 49.62 % 8.343 M -2.14 % 8.525 M 5.18 % 8.105 M -21.09 % 10.271 M 31.05 % 7.838 M -7.26 % 8.452 M -8.65 % 9.252 M -17.41 % 11.202 M -10.63 % 12.535 M -38.45 % 20.366 M 17.23 % 17.373 M 920.91 % 1.702 M
Total investments 819.016 K 3.72 % 789.678 K -2.12 % 806.769 K 12.57 % 716.677 K -10.36 % 799.522 K -10.35 % 891.863 K 2.51 % 870.014 K -0.26 % 872.271 K 24.85 % 698.642 K 15.91 % 602.720 K -16.63 % 722.933 K -41.75 % 1.241 M -6.48 % 1.327 M -61.01 % 3.403 M
Total debt 16.006 M -11.71 % 18.130 M -10.58 % 20.275 M 4.35 % 19.430 M 29.25 % 15.032 M -10.44 % 16.784 M 24.16 % 13.519 M -10.12 % 15.041 M -10.98 % 16.896 M -6.78 % 18.124 M 5.02 % 17.258 M -27.68 % 23.864 M 0.07 % 23.847 M 0.000
Accumulated other comprehensive income loss 0.000 -100.00 % 8.316 M 215.81 % 2.633 M -65.59 % 7.652 M 15.04 % 6.652 M 21.07 % 5.494 M 10.98 % 4.951 M 16.02 % 4.267 M 19.35 % 3.576 M 41.21 % 2.532 M -33.50 % 3.808 M 20.79 % 3.152 M 300.52 % 787.023 K -93.85 % 12.796 M
Retained earnings 329.415 K 0.000 -100.00 % 3.006 M 42.90 % 2.104 M 7.22 % 1.962 M 111.83 % 926.285 K -41.76 % 1.591 M 53.76 % 1.034 M 351.98 % 228.873 K 124.80 % -923.061 K -554.32 % 203.172 K -93.58 % 3.163 M -39.15 % 5.197 M 0.000
Common stock 6.539 M 0.00 % 6.539 M 0.00 % 6.539 M 0.00 % 6.539 M 0.00 % 6.539 M 0.00 % 6.539 M 0.00 % 6.539 M 0.00 % 6.539 M 0.00 % 6.539 M 0.00 % 6.539 M 0.00 % 6.539 M 30.78 % 5.000 M 0.00 % 5.000 M 0.000
Total equity 21.880 M -4.70 % 22.960 M 0.12 % 22.932 M 2.44 % 22.386 M 4.61 % 21.400 M 5.56 % 20.272 M 2.41 % 19.796 M 3.45 % 19.136 M 3.75 % 18.444 M 6.00 % 17.401 M -6.83 % 18.676 M 65.06 % 11.315 M 3.01 % 10.984 M -14.16 % 12.796 M
Other non current liabilities 2.256 M -2.69 % 2.319 M 866.61 % 239.881 K -88.80 % 2.141 M -13.66 % 2.480 M -3.12 % 2.560 M 10.77 % 2.311 M 8.49 % 2.130 M -12.30 % 2.429 M 568.57 % 363.277 K -67.39 % 1.114 M -67.67 % 3.445 M -7.31 % 3.717 M 0.000
Long term debt 10.969 M -13.70 % 12.711 M -12.71 % 14.561 M 5.79 % 13.764 M 31.51 % 10.466 M -8.91 % 11.490 M 28.48 % 8.943 M -10.19 % 9.958 M -17.07 % 12.007 M -6.82 % 12.886 M 8.31 % 11.898 M -32.52 % 17.632 M -9.58 % 19.500 M 0.000
Total non current liabilities 13.326 M -13.50 % 15.406 M -7.31 % 16.622 M 0.28 % 16.576 M 24.64 % 13.299 M -10.48 % 14.857 M 23.26 % 12.053 M -6.74 % 12.924 M -13.62 % 14.961 M -14.79 % 17.558 M 6.10 % 16.548 M -21.49 % 21.077 M -9.22 % 23.217 M 0.000
Other current liabilities 3.731 M -14.03 % 4.340 M 20.02 % 3.616 M -13.75 % 4.192 M 7.92 % 3.885 M -11.23 % 4.376 M -0.24 % 4.387 M -9.48 % 4.846 M 47.73 % 3.280 M -45.08 % 5.973 M 22.29 % 4.884 M -26.64 % 6.658 M 0.24 % 6.642 M 0.000
Deferred revenue 0.000 -100.00 % 107.925 K -96.85 % 3.431 M 20.00 % 2.859 M 630.34 % 391.458 K 66.24 % 235.471 K -93.62 % 3.688 M 949.88 % 351.315 K 11.67 % 314.600 K -90.92 % 3.466 M 21.28 % 2.858 M 0.000 0.000 0.000
Short term debt 5.038 M -7.04 % 5.419 M -8.98 % 5.954 M 11.26 % 5.352 M 13.57 % 4.712 M -10.17 % 5.246 M 13.12 % 4.637 M -10.63 % 5.189 M -0.04 % 5.191 M -0.89 % 5.238 M -2.29 % 5.361 M -13.99 % 6.232 M 43.38 % 4.347 M 0.000
Total current liabilities 12.785 M -8.05 % 13.904 M -10.36 % 15.510 M 1.14 % 15.335 M -2.12 % 15.667 M -3.45 % 16.227 M -0.27 % 16.272 M 6.73 % 15.246 M 15.39 % 13.213 M -3.02 % 13.625 M 3.35 % 13.183 M -26.47 % 17.928 M 4.77 % 17.111 M 0.000
Total liabilities 26.111 M -10.91 % 29.310 M -8.78 % 32.132 M 0.69 % 31.911 M 10.17 % 28.966 M -6.81 % 31.084 M 9.74 % 28.325 M 0.55 % 28.170 M -0.02 % 28.174 M -9.65 % 31.183 M 4.88 % 29.731 M -23.78 % 39.006 M -3.28 % 40.328 M 0.000
Other non current assets 194.334 K -74.01 % 747.594 K 240.94 % 219.275 K 145.88 % -477.967 K -15.48 % -413.882 K -198.36 % -138.721 K -127.73 % 500.251 K -0.02 % 500.333 K -0.02 % 500.415 K 0.29 % 498.973 K -0.06 % 499.263 K -36.08 % 781.031 K 241.81 % 228.497 K 113.43 % -1.702 M
Long term investments 819.016 K 3.72 % 789.678 K -3.06 % 814.638 K -43.79 % 1.449 M -6.33 % 1.547 M 0.16 % 1.545 M 74.87 % 883.330 K -0.22 % 885.253 K 24.44 % 711.405 K 15.47 % 616.118 K -16.32 % 736.308 K -40.67 % 1.241 M -6.48 % 1.327 M 0.000
Intangible assets 591.755 K -15.96 % 704.137 K -17.38 % 852.216 K -6.41 % 910.574 K -14.51 % 1.065 M -9.94 % 1.183 M -9.46 % 1.306 M -6.91 % 1.403 M -6.57 % 1.502 M -9.81 % 1.665 M 18.54 % 1.405 M 108.62 % 673.406 K 17.54 % 572.933 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 591.755 K -15.96 % 704.137 K -17.38 % 852.216 K -6.41 % 910.574 K -14.51 % 1.065 M -9.94 % 1.183 M -9.46 % 1.306 M -6.91 % 1.403 M -6.57 % 1.502 M -9.81 % 1.665 M 18.54 % 1.405 M 108.62 % 673.406 K 17.54 % 572.933 K 0.000
Property plant equipment net 15.982 M 1.58 % 15.733 M 3.80 % 15.156 M 4.79 % 14.464 M -2.98 % 14.907 M -79.90 % 74.178 M 352.56 % 16.391 M -8.46 % 17.906 M -9.16 % 19.712 M -9.19 % 21.706 M -7.50 % 23.465 M -4.89 % 24.672 M -4.20 % 25.755 M 0.000
Total non current assets 17.843 M -2.41 % 18.283 M 5.90 % 17.264 M 2.70 % 16.811 M -4.00 % 17.512 M -77.36 % 77.351 M 290.71 % 19.797 M -10.24 % 22.056 M -7.71 % 23.899 M -7.05 % 25.712 M -4.56 % 26.940 M -1.56 % 27.368 M -1.85 % 27.883 M 1 738.53 % -1.702 M
Other current assets 1.949 M 182.65 % 689.714 K -94.72 % 13.073 M 718.28 % 1.598 M -85.84 % 11.281 M 428.70 % 2.134 M 97.45 % 1.081 M 66.20 % 650.197 K -91.22 % 7.402 M 525.71 % 1.183 M 137.61 % 497.866 K -59.45 % 1.228 M -46.22 % 2.283 M 0.000
Short term investments 0.000 0.000 -100.00 % 68.000 K 158.57 % 26.298 K -77.98 % 119.420 K 118.29 % -652.850 K -4 802.75 % -13.316 K -2.57 % -12.982 K -1.72 % -12.763 K 4.74 % -13.398 K -0.17 % -13.375 K 0.000 0.000 -100.00 % 3.403 M
cash and cash equivalents 4.685 M -17.03 % 5.647 M -52.67 % 11.932 M 9.42 % 10.905 M 57.42 % 6.927 M 6.37 % 6.513 M 14.65 % 5.681 M -13.79 % 6.589 M -13.80 % 7.645 M 10.44 % 6.922 M 46.55 % 4.723 M 35.00 % 3.499 M -45.96 % 6.473 M 480.40 % -1.702 M
Cash and short term investments 4.685 M -17.03 % 5.647 M -52.67 % 11.932 M 9.42 % 10.905 M 57.42 % 6.927 M 6.37 % 6.513 M 14.65 % 5.681 M -13.79 % 6.589 M -13.80 % 7.645 M 10.44 % 6.922 M 46.55 % 4.723 M 35.00 % 3.499 M -45.96 % 6.473 M 280.40 % 1.702 M
Total current assets 30.179 M -11.20 % 33.987 M -10.09 % 37.800 M 0.84 % 37.487 M 14.10 % 32.854 M -1.31 % 33.289 M 17.53 % 28.323 M 12.17 % 25.250 M 11.14 % 22.720 M -0.67 % 22.872 M 6.54 % 21.467 M -6.47 % 22.953 M -2.03 % 23.429 M 1 276.80 % 1.702 M
Inventory 9.963 M -22.72 % 12.892 M 0.76 % 12.794 M -10.12 % 14.235 M 1.62 % 14.008 M 7.11 % 13.078 M 7.90 % 12.121 M 17.59 % 10.308 M 34.34 % 7.673 M -14.10 % 8.932 M 10.02 % 8.119 M -22.52 % 10.479 M 12.54 % 9.311 M 0.000
Net receivables 13.581 M -7.98 % 14.758 M 36.74 % 10.793 M 4.95 % 10.283 M 15.00 % 8.942 M -23.02 % 11.616 M 23.04 % 9.441 M 22.58 % 7.702 M 3 747.18 % -211.180 K -103.62 % 5.835 M -28.21 % 8.127 M -2.72 % 8.355 M 55.81 % 5.362 M 0.000
Tax assets 255.799 K -17.18 % 308.853 K 39.24 % 221.809 K -52.32 % 465.218 K 14.49 % 406.352 K -30.46 % 584.315 K -18.48 % 716.776 K -47.34 % 1.361 M -7.56 % 1.473 M 20.19 % 1.225 M 46.84 % 834.424 K 0.000 0.000 0.000
Other assets -30.000 K 0.000 0.000 0.000 0.000 100.00 % -59.284 M 0.000 0.000 0.000 0.000 -100.00 % 2.000 0.000 0.000 0.000
Account payables 3.602 M -10.77 % 4.037 M -21.47 % 5.140 M -3.43 % 5.323 M -12.82 % 6.105 M -0.15 % 6.114 M -7.69 % 6.623 M 39.32 % 4.754 M 15.26 % 4.125 M 15.76 % 3.563 M -1.78 % 3.627 M -28.00 % 5.038 M -17.72 % 6.123 M 0.000
Tax payables 414.352 K 0.000 -100.00 % 560.357 K 69.99 % 329.637 K -59.75 % 819.004 K 51.74 % 539.753 K -13.61 % 624.757 K 77.83 % 351.315 K 11.67 % 314.600 K -23.59 % 411.725 K -32.42 % 609.260 K 0.000 0.000 0.000
Deferred revenue non current 0.000 -100.00 % 272.423 K -87.63 % 2.203 M 594.27 % 317.296 K -19.73 % 395.306 K 18.72 % 332.979 K -32.35 % 492.195 K -17.35 % 595.533 K -16.79 % 715.737 K -15.19 % 843.882 K 79.80 % 469.341 K 0.000 0.000 0.000
Minority interest 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Capital lease obligations 0.000 0.000 -100.00 % 239.880 K 176.21 % -314.755 K -316.00 % 145.718 K 399.93 % -48.584 K -178.76 % 61.690 K -41.69 % 105.803 K -64.97 % 302.004 K 0.000 0.000 0.000 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 15.012 M 85.22 % 8.105 M -39.45 % 13.387 M -2.59 % 13.744 M 6.55 % 12.899 M 0.72 % 12.807 M 9.78 % 11.666 M 0.90 % 11.563 M -0.97 % 11.677 M -0.92 % 11.785 M -1.25 % 11.934 M 0.000 0.000 0.000
Deferred tax liabilities non current 101.465 K -2.91 % 104.502 K 6.90 % 97.754 K -45.17 % 178.284 K -28.57 % 249.588 K -33.77 % 376.878 K -12.46 % 430.505 K -4.76 % 452.030 K 9.26 % 413.733 K -78.27 % 1.904 M 7.68 % 1.768 M 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 47.992 M -8.19 % 52.270 M -5.07 % 55.064 M 1.41 % 54.297 M 7.81 % 50.366 M -1.93 % 51.356 M 6.72 % 48.121 M 1.72 % 47.306 M 1.47 % 46.618 M -4.05 % 48.584 M 0.37 % 48.407 M -3.80 % 50.321 M -1.93 % 51.313 M 0.000
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
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
Deferred income tax 0.000 0.000 0.000 -100.00 % 463.048 K 53.73 % 301.208 K 637.98 % 40.815 K 682.07 % -7.012 K -107.63 % 91.843 K 141.42 % -221.760 K 54.24 % -484.622 K -1 783.34 % -25.732 K 0.000 0.000 0.000
Stock based compensation 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
Change in working capital 3.234 M 176.77 % -4.213 M -495.70 % -707.162 K 68.90 % -2.274 M -301.18 % 1.130 M 127.08 % -4.173 M -231.99 % -1.257 M 41.75 % -2.158 M -357.35 % 838.479 K -34.54 % 1.281 M 192.35 % 438.112 K 115.20 % -2.883 M -163.09 % 4.569 M 229.17 % -3.537 M
Accounts receivables 921.694 K 162.07 % -1.485 M -178.24 % 1.898 M 533.51 % -437.780 K -117.82 % 2.457 M 181.71 % -3.006 M -315.05 % -724.316 K 42.56 % -1.261 M -36.04 % -927.013 K -138.79 % 2.390 M 1 453.54 % 153.818 K 108.74 % -1.760 M -132.65 % 5.391 M 290.12 % -2.836 M
Inventory 2.557 M 885.87 % 259.415 K -84.12 % 1.633 M 489.06 % -419.827 K 42.43 % -729.218 K 29.31 % -1.032 M 37.76 % -1.657 M 39.15 % -2.724 M -347.30 % 1.101 M 226.87 % -868.115 K -137.39 % 2.322 M 315.66 % -1.077 M -38.25 % -778.822 K -11.31 % -699.662 K
Accounts payables 0.000 100.00 % -1.113 M -1 071.00 % -95.016 K 88.59 % -832.492 K -1 002.33 % -75.521 K 88.64 % -664.734 K -145.64 % 1.456 M 47.93 % 984.533 K 48.95 % 660.997 K 1 066.64 % -68.381 K 95.87 % -1.654 M 0.000 0.000 0.000
Other working capital -245.418 K 86.91 % -1.874 M 55.77 % -4.238 M -626.35 % -583.513 K -11.85 % -521.684 K -198.48 % 529.756 K 259.75 % -331.612 K -139.37 % 842.371 K 26 821.41 % 3.129 K 101.82 % -172.307 K 55.07 % -383.473 K -735.53 % -45.896 K -6.06 % -43.274 K -2 040.16 % -2.022 K
Other non cash items -1.274 M -407.67 % 413.989 K 797.26 % -59.374 K -101.12 % 5.315 M 120.76 % 2.408 M -75.01 % 9.633 M 71.46 % 5.618 M -30.84 % 8.123 M 128.17 % 3.560 M 6.18 % 3.353 M -21.75 % 4.285 M 975.62 % 398.380 K 169.68 % -571.748 K -165.55 % 872.284 K
Net cash provided by operating activities 2.172 M 306.04 % -1.054 M -163.83 % 1.652 M -19.94 % 2.063 M -51.25 % 4.232 M 902.35 % -527.426 K -132.94 % 1.601 M -2.87 % 1.649 M -48.08 % 3.175 M 25.97 % 2.521 M 18.20 % 2.133 M 167.58 % 797.048 K -89.56 % 7.632 M 309.52 % 1.864 M
Investments in property plant and equipment -1.083 M 41.02 % -1.836 M -28.50 % -1.429 M -11.53 % -1.281 M 50.92 % -2.610 M -187.08 % -909.208 K -16.50 % -780.440 K -140.20 % -324.918 K 35.84 % -506.413 K 66.16 % -1.496 M 28.60 % -2.096 M -103.70 % -1.029 M 6.54 % -1.101 M 4.59 % -1.154 M
Acquisitions net 0.000 0.000 0.000 -100.00 % 931.000 -99.85 % 604.724 K 0.000 0.000 0.000 -100.00 % 5.390 K -97.99 % 267.735 K 3 088.84 % 8.396 K 0.000 0.000 0.000
Purchases of investments 0.000 100.00 % -239.000 0.000 0.000 -100.00 % 11.278 K 191.59 % -12.313 K 93.32 % -184.405 K -95.16 % -94.490 K -17 430.61 % -539.000 0.000 0.000 0.000 0.000 0.000
Sales maturities of investments 0.000 0.000 0.000 -100.00 % 53.747 K 727.64 % 6.494 K 0.000 -100.00 % 1.180 K 0.000 100.00 % -268.000 -200.00 % 268.000 100.29 % -91.968 K 0.000 0.000 0.000
Other investing activites 19.478 K 0.000 -100.00 % 252.412 K 182 807.25 % 138.000 -83.27 % 825.000 101.64 % -50.302 K 59.19 % -123.267 K -25.96 % -97.859 K 80.32 % -497.186 K -199.44 % 500.000 K 25 753.15 % 1.934 K 103.26 % -59.410 K 83.03 % -350.118 K -387.39 % -71.836 K
Net cash used for investing activites -1.063 M 42.09 % -1.836 M -56.10 % -1.176 M 4.07 % -1.226 M 38.28 % -1.987 M -115.61 % -921.521 K 4.37 % -963.665 K -129.77 % -419.408 K 58.02 % -999.016 K -37.16 % -728.382 K 66.55 % -2.177 M -100.08 % -1.088 M 25.00 % -1.451 M -18.38 % -1.226 M
Debt repayment 0.000 100.00 % -1.928 M 0.000 -100.00 % 4.147 M 320.75 % -1.878 M -159.12 % 3.177 M 297.89 % -1.606 M 0.000 100.00 % -1.317 M -269.20 % 778.356 K 111.57 % -6.730 M 0.000 0.000 0.000
Common stock issued 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 -100.00 % 8.002 M 0.000 0.000 0.000
Common stock repurchased -57.908 K -96.20 % -29.515 K 99.07 % -3.175 M -21 993.35 % -14.372 K 51.21 % -29.457 K 56.06 % -67.034 K -181.42 % -23.820 K 0.000 -100.00 % 345.388 K 200.00 % -345.388 K 0.000 0.000 0.000 0.000
Dividends paid 0.000 100.00 % -1.298 M 0.000 100.00 % -976.950 K 0.000 100.00 % -782.850 K 0.000 100.00 % -392.325 K 0.00 % -392.325 K 0.000 0.000 100.00 % -500.000 K 95.48 % -11.056 M 0.000
Other financing activites -2.013 M -1 349.61 % -138.853 K -103.73 % 3.727 M 25 677.78 % -14.571 K 87.14 % -113.328 K -178.46 % 144.439 K 73.27 % 83.363 K 104.41 % -1.892 M -2 007.76 % -89.767 K -236.48 % -26.678 K -941.70 % -2.561 K 99.88 % -2.184 M -123.02 % 9.484 M 2 091.88 % -476.156 K
Net cash used provided by financing activities -2.071 M 39.00 % -3.394 M -715.29 % 551.682 K -82.43 % 3.141 M 255.39 % -2.021 M -181.77 % 2.472 M 259.88 % -1.546 M 32.32 % -2.284 M -57.14 % -1.454 M -457.80 % 406.290 K -67.99 % 1.269 M 147.30 % -2.684 M -70.76 % -1.572 M -230.07 % -476.156 K
Effect of forex changes on cash 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
Net change in cash 0.000 100.00 % -6.285 M 0.000 -100.00 % 3.978 M 1 677.67 % 223.750 K -78.13 % 1.023 M 212.60 % -908.451 K 13.91 % -1.055 M -246.03 % 722.648 K -67.13 % 2.199 M 79.54 % 1.225 M 182.33 % -1.487 M -164.54 % 2.305 M 2 746.91 % 80.961 K
Cash at beginning of period 0.000 -100.00 % 11.932 M 9.42 % 10.905 M 57.42 % 6.927 M 3.34 % 6.704 M 18.01 % 5.681 M -13.79 % 6.589 M -13.80 % 7.645 M 10.44 % 6.922 M 46.55 % 4.723 M 35.00 % 3.499 M 0.000 -100.00 % 1.864 M 0.000
Cash at end of period 0.000 -100.00 % 5.647 M -48.22 % 10.905 M 0.00 % 10.905 M 57.42 % 6.927 M 3.34 % 6.704 M 18.01 % 5.681 M -13.79 % 6.589 M -13.80 % 7.645 M 10.44 % 6.922 M 46.55 % 4.723 M 417.53 % -1.487 M -135.68 % 4.169 M 5 048.82 % 80.961 K
Operating cash flow 2.172 M 306.04 % -1.054 M -163.83 % 1.652 M -19.94 % 2.063 M -51.25 % 4.232 M 902.35 % -527.426 K -132.94 % 1.601 M -2.87 % 1.649 M -48.08 % 3.175 M 25.97 % 2.521 M 18.20 % 2.133 M 167.58 % 797.048 K -89.56 % 7.632 M 309.52 % 1.864 M
Capital expenditure -1.083 M 37.56 % -1.734 M -21.37 % -1.429 M -11.53 % -1.281 M 50.92 % -2.610 M -187.08 % -909.208 K -16.50 % -780.440 K -140.20 % -324.918 K 35.84 % -506.413 K 66.16 % -1.496 M 28.60 % -2.096 M -103.70 % -1.029 M 6.54 % -1.101 M 4.59 % -1.154 M
Free CashFlow 1.089 M 139.07 % -2.788 M -1 350.90 % 222.908 K -71.49 % 781.959 K -51.78 % 1.622 M 212.88 % -1.437 M -275.02 % 820.831 K -37.98 % 1.324 M -50.41 % 2.669 M 160.53 % 1.024 M 2 671.58 % 36.962 K 115.95 % -231.788 K -103.55 % 6.532 M 820.04 % 709.914 K
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Date Form 10K
2024
2023
2022
2021
2020
2019
2018
2017
2016
2015