(FY)Mar 31, 2024 | (Q4)Mar 31, 2024 | (Q3)Dec 31, 2023 | (Q2)Sep 30, 2023 | (Q1)Jun 30, 2023 | (FY)Mar 31, 2023 | (Q4)Mar 31, 2023 | (Q3)Dec 31, 2022 | (Q2)Sep 30, 2022 | (Q1)Jun 30, 2022 | |
---|---|---|---|---|---|---|---|---|---|---|
Operating Cash Flow (Indirect Method) | ||||||||||
Cash flow from continuing operating activities | 42.09%-228.42M | 76.51%-22.46M | 56.72%-33.35M | 70.52%-23.94M | -5.80%-148.67M | 11.62%-394.42M | -252.12%-95.63M | 53.96%-77.06M | 5.52%-81.22M | 15.24%-140.52M |
Net income from continuing operations | 84.30%-483.68M | 83.90%-94.68M | -1.51%-230.28M | 32.78%-116.87M | 98.00%-41.86M | -1,089.77%-3.08B | -13.72%-587.99M | -96.41%-226.84M | -964.55%-173.85M | -636.41%-2.09B |
Depreciation and amortization | -33.56%53.18M | -41.48%11.3M | -36.61%12.24M | -43.47%11.07M | -14.99%18.58M | -27.86%80.03M | -28.55%19.3M | -35.68%19.31M | -31.99%19.57M | -13.06%21.85M |
Asset impairment expenditure | -97.52%53.8M | -85.35%54.61M | 78.89%25.17M | -164.26%-36.57M | -99.39%10.58M | 551.93%2.17B | 69.66%372.73M | -56.79%14.07M | 5,684.59%56.91M | 2,013.45%1.73B |
Unrealized gains and losses of investment securities | -54.65%160.47M | -199.64%-27.98M | 53.14%144.01M | 523.93%112.89M | -132.05%-68.46M | 140.82%353.83M | 6.85%28.09M | 259.56%94.04M | 107.76%18.09M | 135.55%213.61M |
Remuneration paid in stock | -44.00%14.18M | -8.49%4.05M | -39.01%3.69M | -72.67%2.57M | -28.94%3.87M | -45.76%25.32M | -59.10%4.43M | -10.65%6.06M | -41.08%9.4M | -58.56%5.44M |
Deferred tax | 315.21%12.33M | 91.23%-1.44M | 19.39%-1.08M | 55.97%12.82M | -46.17%2.02M | 35.99%-5.73M | -93.44%-16.36M | -630.05%-1.34M | 356.31%8.22M | 29.28%3.75M |
Other non cashItems | -1,524.17%-42.65M | -68.19%5.25M | -69.54%4.92M | 22.25%-24.45M | -1,670.71%-28.37M | 140.65%3M | -10.08%16.5M | 189.45%16.14M | -210.11%-31.45M | 104.99%1.81M |
Change In working capital | -93.27%3.97M | -60.95%26.43M | 426.20%7.97M | 22.84%14.6M | -103.78%-45.03M | -71.23%58.97M | -65.50%67.67M | 103.44%1.52M | -87.42%11.88M | 46.82%-22.1M |
-Change in receivables | -160.06%-3.75M | 255.21%10.71M | -249.28%-1.56M | 182.33%23.49M | -1,062.44%-36.39M | -61.36%6.24M | -157.17%-6.9M | 112.61%1.04M | -51.91%8.32M | 176.45%3.78M |
-Change in inventory | -98.49%1.03M | -86.75%9.08M | -53.20%-3.81M | -427.14%-11.08M | 788.52%6.84M | -66.49%68.44M | -65.30%68.53M | -124.54%-2.49M | -77.02%3.39M | 94.53%-993K |
-Change in prepaid assets | -119.42%-2.43M | -110.46%-1.59M | -106.90%-593K | -279.36%-7.3M | 175.46%7.05M | -54.59%12.53M | 1,341.42%15.2M | 175.45%8.59M | -103.92%-1.92M | -6.04%-9.34M |
-Change in payables and accrued expense | 132.28%9.12M | 189.82%8.22M | 347.10%13.93M | 351.14%9.48M | -44.84%-22.52M | 34.27%-28.24M | 24.94%-9.16M | 83.68%-5.64M | -84.34%2.1M | -61.23%-15.55M |
Cash from discontinued investing activities | 67.18%-53.53M | 100.91%401K | 101.17%779K | -63.90%-163.12M | -44.1M | -66.84M | ||||
Operating cash flow | 49.43%-281.95M | 84.21%-22.06M | 77.37%-32.57M | 41.04%-78.65M | -5.80%-148.67M | -2.15%-557.55M | -10.30%-139.74M | 14.03%-143.89M | -55.18%-133.4M | 15.24%-140.52M |
Investing cash flow | ||||||||||
Cash flow from continuing investing activities | -51.99%219.6M | -83.70%14.89M | -109.51%-15.13M | -9.72%77.27M | 17.43%142.57M | 98.16%457.43M | -69.74%91.36M | 741.29%159.07M | -73.93%85.58M | 132.42%121.42M |
Net PPE purchase and sale | 3,250.46%150.6M | 122.42%50K | 143.91%772K | 680.75%68.46M | 3,646.31%81.32M | 147.79%4.5M | -114.34%-223K | -107.85%-1.76M | 167.00%8.77M | 88.69%-2.29M |
Net intangibles purchas and sale | 59.09%-547K | 334.72%169K | 126.61%87K | -50.30%-499K | 49.83%-304K | 88.30%-1.34M | 98.95%-72K | 82.18%-327K | 82.49%-332K | 27.25%-606K |
Net business purchase and sale | -106.40%-955K | 10.56%2.76M | ---3.72M | --0 | --0 | -85.53%14.93M | -97.68%2.5M | --0 | 6,159.62%12.91M | -132.38%-475K |
Net investment purchase and sale | -82.04%78.2M | -88.11%10.38M | -107.65%-12.72M | -84.60%8.79M | -42.50%71.75M | 161.37%435.44M | 150.28%87.3M | -51.22%166.25M | -83.50%57.1M | 136.01%124.79M |
Net other investing changes | -297.56%-7.71M | -17.31%1.53M | 108.80%448K | --507K | ---10.19M | 121.52%3.9M | -99.50%1.85M | 98.66%-5.09M | ---- | ---- |
Cash from discontinued investing activities | 191.44%21.99M | 23,975.73%24.59M | 160.64%14.52M | -126,478.95%-24.05M | -103K | -23.95M | ||||
Investing cash flow | -44.25%241.59M | -56.73%39.48M | -100.45%-611K | -29.73%60.14M | 17.43%142.57M | 87.76%433.38M | -69.78%91.25M | 644.75%135.13M | -73.93%85.58M | 132.42%121.42M |
Financing cash flow | ||||||||||
Cash flow from continuing financing activities | -2,261.40%-465.06M | -93.29%8.47M | 50.40%-66.23M | -2,311.72%-274.19M | -12,650.00%-133.11M | 56.75%-19.69M | 15,580.37%126.23M | -39,023.62%-133.51M | -563.69%-11.37M | 97.68%-1.04M |
Net issuance payments of debt | -3,102.06%-509.78M | -122.01%-29.7M | 44.78%-64.9M | -139,950.94%-296.91M | -55,955.45%-118.28M | 133.45%16.98M | 24,812.82%134.93M | -51,903.54%-117.53M | 88.69%-212K | 99.56%-211K |
Net common stock issuance | 7,627.65%81.06M | 24,391.19%47.27M | --0 | ---- | ---- | -61.15%1.05M | -84.44%193K | --0 | ---- | ---- |
Proceeds from stock option exercised by employees | --0 | --0 | --0 | --0 | --0 | -94.95%281K | -90.18%11K | --0 | -95.36%60K | -94.15%210K |
Net other financing activities | 4.38%-36.34M | -2.14%-9.1M | 91.67%-1.33M | 8.27%-11.08M | -1,322.15%-14.83M | -1,151.40%-38.01M | -890,800.00%-8.91M | ---15.98M | -365.78%-12.07M | -134.91%-1.04M |
Cash from discontinued financing activities | ||||||||||
Financing cash flow | -2,261.40%-465.06M | -93.29%8.47M | 50.40%-66.23M | -2,311.72%-274.19M | -12,650.00%-133.11M | 56.75%-19.69M | 15,580.37%126.23M | -39,023.62%-133.51M | -563.69%-11.37M | 97.68%-1.04M |
Net cash flow | ||||||||||
Beginning cash position | -12.76%677.01M | -76.13%142.75M | -67.46%242.98M | -30.70%533.27M | -12.76%677.01M | -32.79%776.01M | -2.77%598.13M | -7.54%746.72M | 37.45%769.5M | -32.79%776.01M |
Current changes in cash | -251.32%-505.42M | -66.69%25.89M | 30.13%-99.41M | -394.54%-292.7M | -591.13%-139.21M | 60.10%-143.86M | -55.84%77.74M | 25.84%-142.28M | -124.60%-59.19M | 96.56%-20.14M |
Effect of exchange rate changes | -102.88%-1.29M | 46.73%1.66M | 86.94%-824K | -93.39%2.41M | -133.26%-4.53M | 347.55%44.86M | 107.46%1.13M | -897.00%-6.31M | 405.91%36.41M | 243.40%13.63M |
End cash Position | -74.85%170.3M | -74.85%170.3M | -76.13%142.75M | -67.46%242.98M | -30.70%533.27M | -12.76%677.01M | -12.76%677.01M | -2.77%598.13M | -7.54%746.72M | 37.45%769.5M |
Free cash from | 49.66%-285.95M | 84.49%-22.14M | 77.38%-33.05M | 41.23%-79.78M | -5.28%-150.98M | 4.37%-568M | -6.83%-142.75M | 14.15%-146.09M | -31.49%-135.75M | 23.26%-143.41M |
Accounting Standards | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP |
Audit Opinions | Unqualified Opinion with Explanatory Notes | -- | -- | -- | -- | Unqualified Opinion with Explanatory Notes | -- | -- | -- | -- |
FY: Financial Year. Refers to the 10-K file disclosed by the listed company to the SEC.
Q: Quarter. Refers to the 10-Q file disclosed by the listed company to the SEC. Q1, Q2, Q3, and Q4 are quarterly reports each with a span of 3 months; Q6 and Q9 are cumulative reports, with Q6 including 6 months and Q9 9 months.