POPRF

PopReach Corporation POPRF

Trading inactive

Finances

2022 2021 2020 2019
Revenue 76.649 M 348.93 % 17.074 M -5.20 % 18.010 M 0.31 % 17.954 M
Net income -5.885 M -469.09 % 1.594 M 125.30 % -6.301 M -42.05 % -4.436 M
Income before tax -6.356 M -477.11 % 1.685 M 127.04 % -6.234 M -46.86 % -4.245 M
Income before tax ratio -0.08 -184.00 % 0.10 128.52 % -0.35 -46.40 % -0.24
EBITDA 9.469 M 116.38 % 4.376 M 579.31 % -912.986 K -152.58 % 1.736 M
Net income ratio -0.08 -182.22 % 0.09 126.69 % -0.35 -41.61 % -0.25
Ratio EBITDA 0.12 -51.80 % 0.26 605.61 % -0.05 -152.42 % 0.10
Gross profit ratio 0.47 -25.64 % 0.63 10.23 % 0.58 30.90 % 0.44
Weighted average shs out dil 182.486 M 136.65 % 77.111 M 61.24 % 47.825 M -8.00 % 51.984 M
Weighted average shs out 182.486 M 149.52 % 73.134 M 52.92 % 47.825 M -8.00 % 51.984 M
EPS diluted -0.03 -261.00 % 0.02 115.38 % -0.13 -52.40 % -0.09
Earnings per share -0.03 -261.00 % 0.02 115.38 % -0.13 -52.40 % -0.09
Gross profit 36.148 M 233.83 % 10.828 M 4.50 % 10.362 M 31.31 % 7.892 M
Income tax expense -471.000 K -617.80 % 90.961 K 34.57 % 67.592 K -64.66 % 191.269 K
Cost of revenue 40.501 M 548.48 % 6.245 M -18.34 % 7.648 M -23.99 % 10.062 M
General and administrative expenses 9.320 M 121.05 % 4.216 M 46.67 % 2.875 M 2.60 % 2.802 M
Selling and marketing expenses 12.602 M 480.87 % 2.170 M 255.91 % 609.573 K 1 195.34 % 47.059 K
Other expenses 416.000 K -88.43 % 3.594 M 172.20 % -4.978 M -8 132.23 % -60.468 K
Operating expenses 35.902 M 200.34 % 11.954 M 30.04 % 9.192 M -6.35 % 9.815 M
Cost and expenses 76.403 M 319.81 % 18.199 M 8.07 % 16.840 M -15.28 % 19.877 M
Research and development expenses 5.173 M 41.31 % 3.661 M 30.13 % 2.813 M -13.33 % 3.246 M
Selling general and administrative expenses 21.922 M 243.29 % 6.386 M 83.28 % 3.484 M 22.30 % 2.849 M
Interest income 0.000 0.000 0.000 0.000
Interest expense 2.913 M 271.87 % 783.332 K -44.72 % 1.417 M 11.92 % 1.266 M
Depreciation and amortization 8.807 M 361.75 % 1.907 M -34.11 % 2.895 M -22.19 % 3.720 M
Operating income 662.000 K -73.18 % 2.469 M 164.83 % -3.808 M -91.93 % -1.984 M
Operating income ratio 0.01 -94.03 % 0.14 168.39 % -0.21 -91.33 % -0.11
Total other income expenses net -3.689 M -202.64 % 3.594 M 160.04 % -5.987 M -467.46 % -1.055 M
2022 2021 2020 2019
2022 2021 2020 2019
Net debt 38.800 M 814.60 % -5.430 M 53.76 % -11.743 M -245.68 % 8.061 M
Total investments 0.000 -100.00 % 100.591 K -33.26 % 150.716 K -21.22 % 191.313 K
Total debt 47.651 M 751.10 % 5.599 M -11.89 % 6.354 M -30.83 % 9.187 M
Accumulated other comprehensive income loss 168.000 K 862.56 % -22.031 K 59.02 % -53.759 K -76.82 % -30.404 K
Retained earnings -6.006 M 48.35 % -11.628 M 12.06 % -13.223 M -91.04 % -6.922 M
Common stock 74.908 M 203.20 % 24.706 M 0.53 % 24.576 M 682.21 % 3.142 M
Total equity 76.878 M 431.78 % 14.457 M 15.47 % 12.520 M 558.01 % -2.734 M
Other non current liabilities 1.655 M -4.35 % 1.730 M 193.82 % 588.855 K 9.41 % 538.217 K
Long term debt 39.141 M 906.52 % 3.889 M -21.37 % 4.946 M 401.95 % 985.292 K
Total non current liabilities 43.948 M 665.86 % 5.738 M 3.68 % 5.535 M 263.28 % 1.524 M
Other current liabilities -1.091 M -310.15 % -266.002 K -107.04 % 3.777 M 2 078.34 % 173.407 K
Deferred revenue 2.464 M -3.76 % 2.560 M 180.57 % 912.475 K -25.91 % 1.232 M
Short term debt 8.510 M 397.65 % 1.710 M 21.39 % 1.409 M -82.82 % 8.202 M
Total current liabilities 29.471 M 337.39 % 6.738 M -14.49 % 7.880 M -43.01 % 13.828 M
Total liabilities 73.419 M 488.47 % 12.476 M -6.99 % 13.414 M -12.62 % 15.351 M
Other non current assets 945.000 K -45.36 % 1.729 M 257.30 % 484.030 K -33.90 % 732.279 K
Long term investments 72.000 K 68.05 % 42.844 K -57.23 % 100.164 K -32.21 % 147.746 K
Intangible assets 67.804 M 620.25 % 9.414 M 83.98 % 5.117 M -33.13 % 7.651 M
GoodWill 55.109 M 2 014.75 % 2.606 M 42 732.56 % 6.084 K 0.00 % 6.084 K
Goodwill and intangible assets 122.913 M 922.58 % 12.020 M 134.63 % 5.123 M -33.10 % 7.658 M
Property plant equipment net 608.000 K -18.32 % 744.328 K 130.58 % 322.801 K -41.05 % 547.565 K
Total non current assets 124.559 M 805.89 % 13.750 M 134.83 % 5.855 M -35.55 % 9.085 M
Other current assets 537.000 K 0.000 0.000 0.000
Short term investments 0.000 -100.00 % 57.747 K 14.23 % 50.552 K 16.03 % 43.567 K
cash and cash equivalents 8.851 M -19.74 % 11.028 M -39.06 % 18.098 M 1 507.02 % 1.126 M
Cash and short term investments 8.851 M -20.16 % 11.086 M -38.91 % 18.148 M 1 451.49 % 1.170 M
Total current assets 25.738 M 95.24 % 13.183 M -34.34 % 20.079 M 468.45 % 3.532 M
Inventory 675.000 K 0.000 0.000 0.000
Net receivables 15.675 M 817.93 % 1.708 M 4.52 % 1.634 M -19.60 % 2.032 M
Tax assets 93.000 K 18.97 % 78.171 K 16.08 % 67.340 K 0.000
Other assets 0.000 0.000 0.000 0.000
Account payables 9.380 M 593.46 % 1.353 M 55.64 % 869.081 K -58.10 % 2.074 M
Tax payables 828.000 K 2 809.86 % 28.455 K -33.92 % 43.062 K -40.55 % 72.439 K
Deferred revenue non current 117.000 K -2.04 % 119.438 K 0.000 0.000
Minority interest 0.000 0.000 0.000 0.000
Capital lease obligations 477.000 K -31.20 % 693.332 K 115.61 % 321.566 K -50.48 % 649.334 K
Preferred stock 0.000 0.000 0.000 0.000
Other total stockholders equity 7.808 M 457.40 % 1.401 M 14.75 % 1.221 M 13.40 % 1.076 M
Deferred tax liabilities non current 3.035 M 0.000 0.000 0.000
Other liabilities 0.000 0.000 0.000 0.000
Total assets 150.297 M 458.04 % 26.933 M 3.85 % 25.935 M 105.55 % 12.617 M
2022 2021 2020 2019
2022 2021 2020 2019
Deferred income tax -1.532 M -6 837.46 % -22.083 K 62.88 % -59.484 K -105.77 % 1.032 M
Stock based compensation 484.000 K 141.50 % 200.417 K 11.22 % 180.201 K -10.43 % 201.184 K
Change in working capital -1.032 M -524.35 % 243.198 K 125.79 % -942.862 K 2.37 % -965.796 K
Accounts receivables -289.000 K -54.48 % -187.080 K -167.46 % 277.305 K 112.30 % -2.254 M
Inventory 0.000 100.00 % -293.382 K -212.65 % 260.435 K 193.51 % -278.517 K
Accounts payables 0.000 -100.00 % 467.219 K 140.22 % -1.162 M -215.55 % 1.005 M
Other working capital -743.000 K -1 911.32 % -36.941 K 36.96 % -58.602 K -120.68 % 283.372 K
Other non cash items 3.750 M 225.30 % -2.993 M -143.29 % 6.914 M 227.93 % 2.108 M
Net cash provided by operating activities 4.592 M 393.45 % 930.590 K -65.34 % 2.685 M 327.54 % 628.020 K
Investments in property plant and equipment -723.000 K 11.56 % -817.467 K -482.58 % -140.318 K 86.90 % -1.071 M
Acquisitions net -5.947 M -12.06 % -5.307 M -543.75 % -824.361 K 60.70 % -2.098 M
Purchases of investments 0.000 0.000 0.000 0.000
Sales maturities of investments 0.000 0.000 0.000 0.000
Other investing activites -639.000 K 0.58 % -642.710 K -1 109.28 % 63.680 K 108.51 % -748.254 K
Net cash used for investing activites -6.641 M -9.66 % -6.056 M -572.15 % -901.000 K 69.06 % -2.913 M
Debt repayment 0.000 0.000 0.000 0.000
Common stock issued 0.000 0.000 -100.00 % 15.865 M 0.000
Common stock repurchased 0.000 0.000 0.000 0.000
Dividends paid 0.000 0.000 0.000 0.000
Other financing activites 53.653 M 12 617.47 % -428.625 K -130.68 % 1.397 M -70.01 % 4.658 M
Net cash used provided by financing activities 8.795 M 554.37 % -1.936 M -112.74 % 15.199 M 374.76 % 3.201 M
Effect of forex changes on cash 63.000 K 875.10 % -8.128 K 30.98 % -11.777 K -196.24 % 12.237 K
Net change in cash 6.809 M 196.32 % -7.069 M -141.65 % 16.971 M 1 726.39 % 929.236 K
Cash at beginning of period 2.042 M -88.72 % 18.098 M 1 507.02 % 1.126 M 471.88 % 196.924 K
Cash at end of period 8.851 M -19.74 % 11.028 M -39.06 % 18.098 M 1 507.02 % 1.126 M
Operating cash flow 4.592 M 393.45 % 930.590 K -65.34 % 2.685 M 327.54 % 628.020 K
Capital expenditure -723.000 K 11.56 % -817.467 K -482.58 % -140.318 K 86.90 % -1.071 M
Free CashFlow 3.869 M 3 320.17 % 113.123 K -95.55 % 2.545 M 674.05 % -443.290 K
2022 2021 2020 2019
2023-03-31 2022-09-30 2022-06-30 2022-03-31 2021-12-31 2021-09-30 2021-06-30 2021-03-31 2020-12-31 2020-09-30 2020-06-30 2020-03-31 2019-12-31 2019-09-30
Revenue 36.489 M 43.22 % 25.477 M 23.15 % 20.688 M 348.27 % 4.615 M 6.49 % 4.334 M 2.68 % 4.221 M -4.96 % 4.441 M 8.91 % 4.078 M -0.42 % 4.095 M -5.56 % 4.336 M -11.55 % 4.902 M 4.83 % 4.677 M -2.74 % 4.808 M 14.16 % 4.212 M
Net income -4.204 M -122.91 % -1.886 M -30.70 % -1.443 M -632.49 % 270.990 K 146.94 % -577.337 K 46.03 % -1.070 M -199.03 % 1.080 M -50.02 % 2.161 M 165.84 % -3.283 M -533.19 % -518.459 K 71.55 % -1.822 M -168.86 % -677.742 K 51.41 % -1.395 M -39.26 % -1.002 M
Income before tax -4.113 M -156.42 % -1.604 M 10.84 % -1.799 M -699.21 % 300.228 K 154.55 % -550.325 K 47.76 % -1.053 M -195.97 % 1.098 M -49.91 % 2.191 M 168.01 % -3.223 M -465.99 % -569.363 K 68.16 % -1.788 M -173.56 % -653.651 K 51.59 % -1.350 M -41.08 % -957.102 K
Income before tax ratio -0.11 -79.04 % -0.06 27.60 % -0.09 -233.67 % 0.07 151.23 % -0.13 49.12 % -0.25 -200.97 % 0.25 -54.01 % 0.54 168.29 % -0.79 -499.30 % -0.13 64.00 % -0.36 -160.96 % -0.14 50.23 % -0.28 -23.58 % -0.23
EBITDA 708.000 K -70.96 % 2.438 M -14.34 % 2.846 M 302.27 % 707.477 K 156.11 % 276.240 K 175.58 % -365.500 K -186.27 % 423.666 K -3.77 % 440.276 K 121.35 % -2.062 M -602.92 % 410.007 K 162.42 % 156.243 K -80.21 % 789.583 K -22.11 % 1.014 M 184.81 % 355.903 K
Net income ratio -0.12 -55.64 % -0.07 -6.13 % -0.07 -218.79 % 0.06 144.08 % -0.13 47.44 % -0.25 -204.19 % 0.24 -54.10 % 0.53 166.12 % -0.80 -570.46 % -0.12 67.83 % -0.37 -156.48 % -0.14 50.05 % -0.29 -21.98 % -0.24
Ratio EBITDA 0.02 -79.72 % 0.10 -30.44 % 0.14 -10.26 % 0.15 140.51 % 0.06 173.61 % -0.09 -190.77 % 0.10 -11.64 % 0.11 121.44 % -0.50 -632.52 % 0.09 196.67 % 0.03 -81.12 % 0.17 -19.92 % 0.21 149.48 % 0.08
Gross profit ratio 0.38 -13.99 % 0.44 -12.81 % 0.51 -23.48 % 0.66 7.65 % 0.62 -4.51 % 0.65 -1.00 % 0.65 5.26 % 0.62 -13.21 % 0.71 23.03 % 0.58 2.65 % 0.57 16.03 % 0.49 1.62 % 0.48 11.82 % 0.43
Weighted average shs out dil 275.267 M 20.27 % 228.877 M 9.31 % 209.386 M 172.76 % 76.764 M -0.23 % 76.938 M 5.22 % 73.121 M -4.97 % 76.942 M -1.06 % 77.766 M 56.05 % 49.835 M -3.88 % 51.846 M -0.27 % 51.984 M 0.00 % 51.984 M 0.00 % 51.984 M 0.00 % 51.984 M
Weighted average shs out 275.267 M 20.27 % 228.877 M 9.31 % 209.386 M 185.01 % 73.466 M 0.23 % 73.300 M 0.25 % 73.121 M 0.00 % 73.121 M 0.06 % 73.074 M 46.63 % 49.835 M -3.88 % 51.846 M -0.27 % 51.984 M 0.00 % 51.984 M 0.00 % 51.984 M 0.00 % 51.984 M
EPS diluted -0.02 -86.59 % -0.01 -18.84 % -0.01 -297.14 % 0.00 146.67 % -0.01 48.63 % -0.01 -246.00 % 0.01 -66.67 % 0.03 145.52 % -0.07 -559.00 % -0.01 71.51 % -0.04 -170.00 % -0.01 51.49 % -0.03 -38.86 % -0.02
Earnings per share -0.02 -86.59 % -0.01 -18.84 % -0.01 -286.49 % 0.00 146.84 % -0.01 45.89 % -0.01 -246.00 % 0.01 -66.67 % 0.03 145.52 % -0.07 -559.00 % -0.01 71.51 % -0.04 -170.00 % -0.01 51.49 % -0.03 -38.86 % -0.02
Gross profit 13.906 M 23.18 % 11.289 M 7.37 % 10.514 M 243.00 % 3.065 M 14.64 % 2.674 M -1.95 % 2.727 M -5.91 % 2.899 M 14.63 % 2.529 M -13.57 % 2.926 M 16.19 % 2.518 M -9.21 % 2.773 M 21.63 % 2.280 M -1.16 % 2.307 M 27.66 % 1.807 M
Income tax expense 91.000 K -67.73 % 282.000 K 179.21 % -356.000 K -1 317.59 % 29.238 K 8.24 % 27.012 K 65.59 % 16.313 K -6.47 % 17.442 K -42.23 % 30.194 K -49.94 % 60.313 K 218.48 % -50.904 K -249.31 % 34.092 K 41.51 % 24.091 K -45.94 % 44.562 K 0.00 % 44.561 K
Cost of revenue 22.583 M 59.17 % 14.188 M 39.45 % 10.174 M 556.51 % 1.550 M -6.64 % 1.660 M 11.14 % 1.494 M -3.16 % 1.542 M -0.44 % 1.549 M 32.48 % 1.170 M -35.68 % 1.818 M -14.60 % 2.129 M -11.16 % 2.396 M -4.19 % 2.501 M 4.02 % 2.404 M
General and administrative expenses 4.185 M 344.27 % 942.000 K -73.01 % 3.490 M 219.12 % 1.094 M -18.88 % 1.348 M 24.52 % 1.083 M 68.07 % 644.221 K -43.54 % 1.141 M 43.37 % 795.866 K -6.67 % 852.717 K 44.02 % 592.095 K -10.98 % 665.130 K -17.60 % 807.159 K 46.12 % 552.380 K
Selling and marketing expenses 4.717 M -1.50 % 4.789 M 55.94 % 3.071 M 1 015.99 % 275.181 K -27.14 % 377.682 K -58.32 % 906.048 K 20.28 % 753.285 K 468.52 % 132.500 K -78.26 % 609.573 K 0.000 0.000 -100.00 % 135.048 K 186.98 % 47.059 K 0.000
Other expenses -1.782 M -5 500.00 % 33.000 K 560.00 % 5.000 K 0.000 -100.00 % 279.207 K 197.49 % -286.398 K 0.000 0.000 100.00 % -2.824 M -449.34 % -514.027 K 63.34 % -1.402 M 0.000 -100.00 % 577.000 101.06 % -54.410 K
Operating expenses 14.599 M 22.13 % 11.954 M 18.72 % 10.069 M 245.10 % 2.918 M -9.32 % 3.218 M -1.91 % 3.281 M 10.58 % 2.967 M 19.20 % 2.489 M -12.56 % 2.846 M 21.78 % 2.337 M 19.91 % 1.949 M -12.41 % 2.225 M -2.42 % 2.281 M -3.01 % 2.351 M
Cost and expenses 37.182 M 42.23 % 26.142 M 29.14 % 20.243 M 353.12 % 4.467 M -8.41 % 4.878 M 2.17 % 4.774 M 5.88 % 4.509 M 11.66 % 4.038 M 0.55 % 4.016 M -3.36 % 4.156 M 1.90 % 4.078 M -11.76 % 4.622 M -3.35 % 4.782 M 0.54 % 4.756 M
Research and development expenses 2.514 M -20.27 % 3.153 M 183.54 % 1.112 M 12.43 % 989.019 K 4.00 % 950.956 K 16.32 % 817.519 K -24.12 % 1.077 M 32.24 % 814.749 K 7.42 % 758.455 K 2.32 % 741.280 K 18.99 % 622.977 K -9.77 % 690.434 K 57.03 % 439.681 K -47.93 % 844.439 K
Selling general and administrative expenses 8.902 M 55.33 % 5.731 M -12.65 % 6.561 M 379.32 % 1.369 M -20.69 % 1.726 M -13.22 % 1.989 M 42.31 % 1.398 M 9.73 % 1.274 M -9.39 % 1.405 M 64.82 % 852.717 K 44.02 % 592.095 K -26.00 % 800.178 K -6.33 % 854.218 K 54.64 % 552.380 K
Interest income 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
Interest expense 1.269 M 84.45 % 688.000 K 2.23 % 673.000 K 257.94 % 188.022 K -34.19 % 285.709 K 33.67 % 213.749 K 46.67 % 145.734 K 5.50 % 138.140 K -71.10 % 477.959 K 129.85 % 207.941 K -35.67 % 323.219 K -14.20 % 376.698 K -1.57 % 382.710 K 6.79 % 358.368 K
Depreciation and amortization 3.183 M 3.68 % 3.070 M 28.13 % 2.396 M 327.96 % 559.871 K 3.52 % 540.856 K 14.05 % 474.220 K -3.55 % 491.663 K 22.74 % 400.576 K -41.31 % 682.556 K -8.17 % 743.314 K 1.25 % 734.124 K -0.09 % 734.794 K -25.53 % 986.736 K 3.36 % 954.637 K
Operating income -2.475 M -291.61 % -632.000 K -240.44 % 450.000 K 204.87 % 147.606 K 155.78 % -264.616 K 68.49 % -839.720 K -1 134.94 % -67.997 K -271.28 % 39.700 K 101.45 % -2.745 M -723.43 % -333.307 K 42.32 % -577.881 K -1 154.74 % 54.789 K 103.51 % 26.922 K 104.50 % -598.734 K
Operating income ratio -0.07 -173.43 % -0.02 -214.04 % 0.02 -31.99 % 0.03 152.38 % -0.06 69.31 % -0.20 -1 199.36 % -0.02 -257.27 % 0.01 101.45 % -0.67 -771.90 % -0.08 34.79 % -0.12 -1 106.16 % 0.01 109.23 % 0.01 103.94 % -0.14
Total other income expenses net -2.151 M -756.97 % -251.000 K 84.02 % -1.571 M -561.19 % 340.644 K 22.00 % 279.207 K 197.49 % -286.398 K -121.84 % 1.311 M -42.73 % 2.290 M 181.09 % -2.824 M -420.86 % -542.142 K 76.32 % -2.289 M -590.00 % -331.742 K 66.62 % -993.948 K -1 726.77 % -54.410 K
2023-03-31 2022-09-30 2022-06-30 2022-03-31 2021-12-31 2021-09-30 2021-06-30 2021-03-31 2020-12-31 2020-09-30 2020-06-30 2020-03-31 2019-12-31 2019-09-30
2023-03-31 2022-09-30 2022-06-30 2022-03-31 2021-12-31 2021-09-30 2021-06-30 2021-03-31 2020-12-31 2020-09-30 2020-06-30 2019-12-31
Net debt 41.276 M 6.38 % 38.800 M 159.08 % 14.976 M 375.91 % -5.428 M 0.03 % -5.430 M 5.85 % -5.767 M 10.05 % -6.411 M 25.01 % -8.549 M 27.20 % -11.743 M -354.33 % 4.617 M -15.36 % 5.455 M -32.33 % 8.061 M
Total investments 0.000 0.000 0.000 -100.00 % 88.109 K -12.41 % 100.591 K -11.25 % 113.339 K -12.61 % 129.697 K -7.63 % 140.413 K -6.84 % 150.716 K -2.75 % 154.981 K -4.47 % 162.236 K -15.20 % 191.313 K
Total debt 45.987 M -3.49 % 47.651 M 87.97 % 25.350 M 387.06 % 5.205 M -7.04 % 5.599 M -3.73 % 5.816 M -5.86 % 6.178 M -0.14 % 6.187 M -2.64 % 6.354 M -2.72 % 6.532 M -13.21 % 7.527 M -18.07 % 9.187 M
Accumulated other comprehensive income loss 46.000 K -72.62 % 168.000 K 52.73 % 110.000 K 1 164.14 % -10.337 K 53.08 % -22.031 K -28.67 % -17.122 K 35.62 % -26.594 K 13.02 % -30.574 K 43.13 % -53.759 K -406.23 % 17.555 K 212.01 % -15.673 K 48.45 % -30.404 K
Retained earnings -28.184 M -369.26 % -6.006 M -45.78 % -4.120 M 63.72 % -11.357 M 2.33 % -11.628 M -5.22 % -11.051 M -10.72 % -9.981 M 9.77 % -11.061 M 16.35 % -13.223 M -33.03 % -9.940 M -5.50 % -9.421 M -36.12 % -6.922 M
Common stock 73.715 M -1.59 % 74.908 M 17.11 % 63.964 M 158.90 % 24.706 M 0.00 % 24.706 M 0.25 % 24.645 M 0.00 % 24.645 M 0.06 % 24.630 M 0.22 % 24.576 M 175.79 % 8.911 M 0.96 % 8.826 M 180.92 % 3.142 M
Total equity 48.099 M -37.43 % 76.878 M 25.93 % 61.049 M 312.76 % 14.790 M 2.31 % 14.457 M -3.64 % 15.002 M -6.25 % 16.002 M 7.89 % 14.832 M 18.47 % 12.520 M 0.000 -100.00 % 299.063 K 110.94 % -2.734 M
Other non current liabilities 1.047 M -36.74 % 1.655 M -2.76 % 1.702 M -0.50 % 1.711 M -1.13 % 1.730 M -6.85 % 1.858 M 0.75 % 1.844 M 265.61 % 504.259 K -14.37 % 588.855 K 6.67 % 552.059 K -2.35 % 565.350 K 5.04 % 538.217 K
Long term debt 32.233 M -17.65 % 39.141 M 92.02 % 20.384 M 484.81 % 3.486 M -10.37 % 3.889 M -10.42 % 4.341 M -8.00 % 4.718 M -2.67 % 4.848 M -1.98 % 4.946 M -20.92 % 6.254 M -13.01 % 7.189 M 629.65 % 985.292 K
Total non current liabilities 35.424 M -19.40 % 43.948 M 73.00 % 25.404 M 376.83 % 5.328 M -7.16 % 5.738 M -9.13 % 6.315 M -5.62 % 6.691 M 22.45 % 5.464 M -1.28 % 5.535 M -18.68 % 6.806 M -12.23 % 7.755 M 408.99 % 1.524 M
Other current liabilities 940.000 K 186.16 % -1.091 M -3.22 % -1.057 M -46.67 % -720.684 K -170.93 % -266.002 K -681 956.41 % -39.000 99.99 % -478.010 K -114.94 % 3.200 M -15.30 % 3.777 M 624.43 % 521.432 K 306.62 % -252.359 K -245.53 % 173.407 K
Deferred revenue 2.529 M 2.64 % 2.464 M 7.55 % 2.291 M -4.08 % 2.388 M -6.71 % 2.560 M 2.75 % 2.492 M 9.02 % 2.285 M 10.08 % 2.076 M 127.54 % 912.475 K -7.00 % 981.136 K -15.47 % 1.161 M -5.75 % 1.232 M
Short term debt 13.754 M 61.62 % 8.510 M 71.37 % 4.966 M 188.87 % 1.719 M 0.53 % 1.710 M 15.93 % 1.475 M 1.06 % 1.460 M 9.02 % 1.339 M -4.96 % 1.409 M 405.77 % 278.531 K -17.50 % 337.631 K -95.88 % 8.202 M
Total current liabilities 35.308 M 19.81 % 29.471 M 49.93 % 19.656 M 204.78 % 6.449 M -4.29 % 6.738 M 4.12 % 6.471 M 5.55 % 6.131 M -29.84 % 8.738 M 10.89 % 7.880 M 80.72 % 4.360 M -0.78 % 4.394 M -68.22 % 13.828 M
Total liabilities 70.732 M -3.66 % 73.419 M 62.94 % 45.060 M 282.61 % 11.777 M -5.61 % 12.476 M -2.42 % 12.786 M -0.28 % 12.821 M -9.72 % 14.202 M 5.87 % 13.414 M 20.14 % 11.166 M -8.09 % 12.149 M -20.86 % 15.351 M
Other non current assets 921.000 K -2.54 % 945.000 K -8.34 % 1.031 M -49.94 % 2.060 M 19.09 % 1.729 M 13.73 % 1.521 M 32.01 % 1.152 M 59.38 % 722.764 K 49.32 % 484.030 K -70.34 % 1.632 M 106.65 % 789.621 K 7.83 % 732.279 K
Long term investments 20.000 K -72.22 % 72.000 K -5.26 % 76.000 K 175.33 % 27.603 K -35.57 % 42.844 K -25.75 % 57.699 K -22.35 % 74.311 K -15.13 % 87.554 K -12.59 % 100.164 K -7.48 % 108.258 K -8.22 % 117.953 K -20.17 % 147.746 K
Intangible assets 49.789 M -26.57 % 67.804 M 51.49 % 44.757 M 379.87 % 9.327 M -0.92 % 9.414 M -2.30 % 9.636 M -1.23 % 9.755 M 15.64 % 8.436 M 64.87 % 5.117 M -10.33 % 5.707 M -10.20 % 6.355 M -16.95 % 7.651 M
GoodWill 44.553 M -19.15 % 55.109 M 53.56 % 35.887 M 1 277.13 % 2.606 M 0.00 % 2.606 M 0.00 % 2.606 M 0.00 % 2.606 M 0.00 % 2.606 M 42 732.56 % 6.084 K 0.00 % 6.084 K 0.00 % 6.084 K 0.00 % 6.084 K
Goodwill and intangible assets 94.342 M -23.24 % 122.913 M 52.41 % 80.644 M 575.82 % 11.933 M -0.72 % 12.020 M -1.81 % 12.242 M -0.97 % 12.361 M 11.95 % 11.042 M 115.54 % 5.123 M -10.32 % 5.713 M -10.19 % 6.361 M -16.93 % 7.658 M
Property plant equipment net 683.000 K 12.34 % 608.000 K -18.17 % 743.000 K 16.86 % 635.791 K -14.58 % 744.328 K 40.46 % 529.933 K -1.86 % 539.972 K 113.62 % 252.777 K -21.69 % 322.801 K -8.92 % 354.402 K -18.94 % 437.190 K -20.16 % 547.565 K
Total non current assets 97.480 M -21.74 % 124.559 M 50.96 % 82.513 M 502.37 % 13.698 M -0.38 % 13.750 M 0.67 % 13.658 M 0.31 % 13.615 M 15.34 % 11.805 M 101.61 % 5.855 M -16.51 % 7.013 M -8.99 % 7.706 M -15.18 % 9.085 M
Other current assets 538.000 K 0.19 % 537.000 K -11.24 % 605.000 K 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Short term investments 0.000 0.000 0.000 -100.00 % 60.506 K 4.78 % 57.747 K 3.79 % 55.640 K 0.46 % 55.386 K 4.78 % 52.859 K 4.56 % 50.552 K 8.20 % 46.723 K 5.51 % 44.283 K 1.64 % 43.567 K
cash and cash equivalents 4.711 M -46.77 % 8.851 M -14.68 % 10.374 M -2.43 % 10.633 M -3.59 % 11.028 M -4.79 % 11.583 M -7.99 % 12.589 M -14.57 % 14.736 M -18.57 % 18.098 M 845.06 % 1.915 M -7.56 % 2.072 M 83.95 % 1.126 M
Cash and short term investments 4.711 M -46.77 % 8.851 M -14.68 % 10.374 M -2.98 % 10.693 M -3.55 % 11.086 M -4.74 % 11.638 M -7.96 % 12.644 M -14.50 % 14.789 M -18.51 % 18.148 M 825.13 % 1.962 M -7.29 % 2.116 M 80.88 % 1.170 M
Total current assets 21.351 M -17.04 % 25.738 M 9.08 % 23.596 M 83.35 % 12.869 M -2.38 % 13.183 M -6.70 % 14.130 M -7.09 % 15.209 M -11.73 % 17.229 M -14.19 % 20.079 M 392.67 % 4.076 M -14.05 % 4.742 M 34.25 % 3.532 M
Inventory 686.000 K 1.63 % 675.000 K 8.70 % 621.000 K 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Net receivables 15.416 M -1.65 % 15.675 M 30.67 % 11.996 M 563.27 % 1.809 M 5.91 % 1.708 M -20.53 % 2.149 M 0.58 % 2.136 M 4.33 % 2.048 M 25.35 % 1.634 M -6.17 % 1.741 M -20.69 % 2.195 M 8.03 % 2.032 M
Tax assets 1.534 M 1 549.46 % 93.000 K -2.11 % 95.000 K 31.92 % 72.015 K -7.88 % 78.171 K 14.95 % 68.006 K 7.31 % 63.372 K 4.33 % 60.740 K -9.80 % 67.340 K 210.11 % 21.715 K 0.000 0.000
Other assets 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Account payables 7.920 M -15.57 % 9.380 M 43.25 % 6.548 M 333.84 % 1.509 M 11.58 % 1.353 M 11.37 % 1.215 M -13.62 % 1.406 M 35.19 % 1.040 M 19.68 % 869.081 K -32.60 % 1.290 M -15.71 % 1.530 M -26.24 % 2.074 M
Tax payables 2.245 M 171.14 % 828.000 K 130.00 % 360.000 K 722.50 % 43.769 K 53.82 % 28.455 K -62.28 % 75.432 K 46.47 % 51.500 K 19.37 % 43.142 K 0.19 % 43.062 K 0.000 -100.00 % 88.439 K 22.09 % 72.439 K
Deferred revenue non current 180.000 K 53.85 % 117.000 K 44.44 % 81.000 K -38.39 % 131.471 K 10.07 % 119.438 K 2.80 % 116.189 K -9.55 % 128.450 K 15.11 % 111.589 K 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
Capital lease obligations 492.000 K 3.14 % 477.000 K -26.50 % 649.000 K 10.14 % 589.249 K -15.01 % 693.332 K 50.38 % 461.062 K -11.90 % 523.336 K 123.91 % 233.722 K -27.32 % 321.566 K -19.10 % 397.508 K -14.88 % 466.987 K -28.08 % 649.334 K
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
Other total stockholders equity 2.522 M -67.70 % 7.808 M 613.06 % 1.095 M -24.58 % 1.452 M 3.65 % 1.401 M -1.74 % 1.426 M 4.40 % 1.365 M 5.55 % 1.294 M 5.99 % 1.221 M 30.73 % 933.729 K 2.60 % 910.028 K -15.46 % 1.076 M
Deferred tax liabilities non current 1.964 M -35.29 % 3.035 M -6.24 % 3.237 M 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
Total assets 118.831 M -20.94 % 150.297 M 41.64 % 106.109 M 299.40 % 26.567 M -1.36 % 26.933 M -3.08 % 27.788 M -3.59 % 28.824 M -0.72 % 29.034 M 11.95 % 25.935 M 133.89 % 11.089 M -10.92 % 12.448 M -1.34 % 12.617 M
2023-03-31 2022-09-30 2022-06-30 2022-03-31 2021-12-31 2021-09-30 2021-06-30 2021-03-31 2020-12-31 2020-09-30 2020-06-30 2019-12-31
2023-03-31 2022-09-30 2022-03-31 2021-12-31 2021-09-30 2021-06-30 2021-03-31 2020-12-31 2020-09-30 2020-06-30 2020-03-31 2019-12-31
Deferred income tax -478.000 K -38.95 % -344.000 K -26 561.54 % 1.300 K 114.94 % -8.703 K -13.22 % -7.687 K -71.01 % -4.495 K -275.21 % -1.198 K 94.46 % -21.638 K 41.77 % -37.160 K -261.53 % 23.005 K 489.12 % 3.905 K -99.59 % 945.086 K
Stock based compensation 400.000 K 13.31 % 353.000 K 590.11 % 51.151 K 816.90 % -7.135 K -111.86 % 60.144 K -18.14 % 73.469 K -0.64 % 73.939 K 49.61 % 49.422 K -17.20 % 59.692 K 53.27 % 38.946 K 21.17 % 32.141 K -62.04 % 84.681 K
Change in working capital 618.000 K 350.20 % -247.000 K -6.35 % -232.248 K -151.20 % 453.629 K 629.16 % -85.726 K -132.78 % 261.525 K 167.71 % -386.230 K -635.98 % 72.061 K 329.67 % -31.376 K 93.48 % -481.539 K 4.08 % -502.008 K -137.84 % 1.327 M
Accounts receivables 7.000 K -99.58 % 1.658 M 1 830.11 % -95.832 K -121.63 % 442.987 K 2 084.98 % -22.317 K 73.23 % -83.380 K 84.10 % -524.370 K -335.97 % 222.215 K -9.66 % 245.968 K 471.04 % 43.074 K 118.41 % -233.952 K -219.37 % 195.987 K
Inventory 608.000 K 0.000 100.00 % -88.657 K 51.39 % -182.370 K -1 296.73 % 15.239 K 114.15 % -107.691 K -480.23 % -18.560 K -105.48 % 338.943 K 137.64 % 142.629 K 238.99 % -102.617 K 13.42 % -118.520 K -156.61 % 209.375 K
Accounts payables -484.000 K 0.000 -100.00 % 156.658 K 13.45 % 138.082 K 172.08 % -191.573 K -152.33 % 366.052 K 136.68 % 154.658 K 136.79 % -420.436 K -74.89 % -240.396 K 23.16 % -312.856 K -66.52 % -187.877 K -121.53 % 872.667 K
Other working capital 1.095 M 157.48 % -1.905 M -550.01 % -293.074 K -129.97 % -127.440 K -199.44 % 128.164 K 706.06 % -21.147 K -28.02 % -16.518 K -106.11 % 270.282 K 831.52 % -36.948 K 82.55 % -211.757 K -164.11 % -80.179 K -131.08 % 257.939 K
Other non cash items 3.021 M 352.25 % 668.000 K 459.23 % -185.951 K -551.02 % -28.563 K -106.59 % 433.442 K 136.12 % -1.200 M 45.40 % -2.198 M -168.94 % 3.188 M 369.02 % 679.704 K -72.08 % 2.434 M 324.20 % 573.849 K -55.12 % 1.279 M
Net cash provided by operating activities 2.540 M 57.37 % 1.614 M 247.01 % 465.113 K 24.78 % 372.747 K 290.77 % -195.389 K -127.81 % 702.572 K 1 286.84 % 50.660 K -92.63 % 687.506 K -26.30 % 932.875 K 3.24 % 903.617 K 461.13 % 161.034 K -92.94 % 2.282 M
Investments in property plant and equipment -555.000 K -13.96 % -487.000 K -51.34 % -321.785 K 20.02 % -402.334 K -0.63 % -399.805 K -16 339.35 % -2.432 K 81.14 % -12.896 K 78.26 % -59.326 K -211.72 % -19.032 K -18.91 % -16.006 K 65.17 % -45.954 K 95.32 % -981.807 K
Acquisitions net 0.000 100.00 % -17.035 M 0.000 0.000 -100.00 % 55.187 K 102.37 % -2.329 M 23.21 % -3.033 M 0.000 0.000 0.000 100.00 % -824.361 K 0.000
Purchases 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
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
Other investing activites -505.000 K -12.47 % -449.000 K -52.83 % -293.794 K 18.55 % -360.724 K -14.10 % -316.147 K -1 918.50 % 17.385 K 3.63 % 16.776 K 3.50 % 16.208 K 1.31 % 15.998 K 4.56 % 15.301 K -5.39 % 16.173 K 101.70 % -950.000 K
Net cash used for investing activites -539.000 K 96.92 % -17.505 M -5 640.17 % -304.956 K 20.87 % -385.370 K -17.67 % -327.504 K 85.85 % -2.314 M 23.61 % -3.029 M -6 925.34 % -43.118 K -1 321.16 % -3.034 K -330.35 % -705.000 99.92 % -854.142 K 13.00 % -981.807 K
Debt repayment 0.000 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 0.000 0.000 0.000 0.000 0.000 0.000
Common stock repurchased 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 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
Other financing activites 4.569 M -68.28 % 14.403 M 16 161.15 % -89.676 K -3.16 % -86.930 K -24.48 % -69.832 K 27.56 % -96.402 K 45.06 % -175.461 K -101.12 % 15.600 M 15 196.99 % -103.331 K -113.40 % 771.200 K -22.40 % 993.854 K 370 941.04 % -268.000
Net cash used provided by financing activities -5.077 M -135.66 % 14.236 M 2 661.42 % -555.786 K -2.78 % -540.779 K -13.73 % -475.479 K 11.30 % -536.042 K -39.83 % -383.353 K -102.46 % 15.569 M 1 483.63 % -1.125 M -547.45 % 251.474 K -50.11 % 504.032 K 197.79 % -515.419 K
Effect of forex changes on cash -8.000 K -106.06 % 132.000 K 60 373.97 % -219.000 76.07 % -915.000 88.50 % -7.954 K -2 517.63 % 329.000 -20.15 % 412.000 101.34 % -30.659 K -179.02 % 38.800 K 30.66 % 29.695 K 159.85 % -49.613 K -731.85 % 7.852 K
Net change in cash -3.084 M -102.50 % -1.523 M -284.74 % -395.848 K 28.59 % -554.317 K 44.92 % -1.006 M 53.13 % -2.147 M 36.12 % -3.361 M -120.77 % 16.183 M 10 434.89 % -156.583 K -113.22 % 1.184 M 596.08 % -238.689 K -130.12 % 792.339 K
Cash at beginning of period 7.795 M -24.86 % 10.374 M -5.93 % 11.028 M -4.79 % 11.583 M -7.99 % 12.589 M -14.57 % 14.736 M -18.57 % 18.098 M 845.06 % 1.915 M -7.56 % 2.072 M 133.42 % 887.471 K -21.19 % 1.126 M 237.35 % 333.821 K
Cash at end of period 4.711 M -46.77 % 8.851 M -16.76 % 10.633 M -3.59 % 11.028 M -4.79 % 11.583 M -7.99 % 12.589 M -14.57 % 14.736 M -18.57 % 18.098 M 845.06 % 1.915 M -7.56 % 2.072 M 133.42 % 887.471 K -21.19 % 1.126 M
Operating cash flow 2.540 M 57.37 % 1.614 M 247.01 % 465.113 K 24.78 % 372.747 K 290.77 % -195.389 K -127.81 % 702.572 K 1 286.84 % 50.660 K -92.63 % 687.506 K -26.30 % 932.875 K 3.24 % 903.617 K 461.13 % 161.034 K -92.94 % 2.282 M
Capital expenditure -555.000 K -13.96 % -487.000 K -51.34 % -321.785 K 20.02 % -402.334 K -0.63 % -399.805 K -16 339.35 % -2.432 K 81.14 % -12.896 K 78.26 % -59.326 K -211.72 % -19.032 K -18.91 % -16.006 K 65.17 % -45.954 K 95.32 % -981.807 K
Free CashFlow 1.985 M 76.13 % 1.127 M 686.31 % 143.328 K 584.43 % -29.587 K 95.03 % -595.194 K -185.01 % 700.140 K 1 753.99 % 37.764 K -93.99 % 628.180 K -31.26 % 913.843 K 2.96 % 887.611 K 671.30 % 115.080 K -91.15 % 1.300 M
2023 2022 2022 2021 2021 2021 2021 2020 2020 2020 2020 2019
Date Form 10K
2022
2021
2020
2019