(Q1)Mar 31, 2024 | (FY)Dec 31, 2023 | (Q4)Dec 31, 2023 | (Q3)Sep 30, 2023 | (Q2)Jun 30, 2023 | (Q1)Mar 31, 2023 | (FY)Dec 31, 2022 | (Q4)Dec 31, 2022 | (Q3)Sep 30, 2022 | (Q2)Jun 30, 2022 | |
---|---|---|---|---|---|---|---|---|---|---|
Assets | ||||||||||
Current assets | ||||||||||
Cash, cash equivalents and short term investments | 23.32%747.88M | 12.03%696.98M | 12.03%696.98M | 9.43%679.97M | -2.54%627.04M | -9.72%606.43M | -12.45%622.17M | -12.45%622.17M | -11.28%621.35M | -2.91%643.38M |
-Cash and cash equivalents | 23.32%747.88M | 12.03%696.98M | 12.03%696.98M | 9.43%679.97M | -2.54%627.04M | -9.72%606.43M | -12.45%622.17M | -12.45%622.17M | -11.28%621.35M | -2.91%643.38M |
Receivables | 2.04%128.45M | 5.10%130.63M | 5.10%130.63M | -7.21%110.27M | 13.88%123.29M | 22.14%125.89M | 17.75%124.28M | 17.75%124.28M | 31.13%118.83M | 16.89%108.26M |
-Accounts receivable | 2.04%128.45M | 5.10%130.63M | 5.10%130.63M | -7.21%110.27M | 13.88%123.29M | 22.14%125.89M | 17.75%124.28M | 17.75%124.28M | 31.13%118.83M | 16.89%108.26M |
Inventory | -27.28%85.72M | -16.82%96.14M | -16.82%96.14M | 1.72%114.25M | 8.72%117.76M | 36.37%117.87M | 53.55%115.58M | 53.55%115.58M | 98.70%112.32M | 81.71%108.32M |
Other current assets | 16.74%35.81M | 13.68%33.03M | 13.68%33.03M | -2.96%26.69M | 14.25%29.75M | 12.28%30.68M | 11.01%29.06M | 11.01%29.06M | 17.97%27.5M | 13.77%26.04M |
Total current assets | 13.28%997.86M | 7.37%956.78M | 7.37%956.78M | 5.82%931.17M | 1.34%897.84M | -0.87%880.86M | -2.89%891.09M | -2.89%891.09M | 1.06%880M | 5.75%886M |
Non current assets | ||||||||||
Net PPE | -9.02%79.69M | -8.94%78.41M | -8.94%78.41M | -8.51%82.7M | -8.17%84.97M | 24.94%87.59M | 19.27%86.11M | 19.27%86.11M | 24.99%90.4M | 23.27%92.53M |
-Gross PPE | -9.02%79.69M | 2.70%149.85M | 2.70%149.85M | -8.51%82.7M | -8.17%84.97M | 24.94%87.59M | 21.62%145.91M | 21.62%145.91M | 24.99%90.4M | 23.27%92.53M |
-Accumulated depreciation | ---- | -19.46%-71.45M | -19.46%-71.45M | ---- | ---- | ---- | -25.16%-59.81M | -25.16%-59.81M | ---- | ---- |
Goodwill and other intangible assets | -5.04%228.79M | 1.05%233.06M | 1.05%233.06M | -0.69%236.35M | 23.91%241.84M | 20.63%240.93M | 12.89%230.64M | 12.89%230.64M | 17.01%237.98M | -6.01%195.17M |
-Goodwill | -0.55%154.43M | 4.26%154.5M | 4.26%154.5M | 2.02%153.85M | 36.40%154M | 37.54%155.29M | 31.25%148.18M | 31.25%148.18M | 33.58%150.81M | 0.00%112.9M |
-Other intangible assets | -13.18%74.36M | -4.72%78.56M | -4.72%78.56M | -5.36%82.5M | 6.78%87.84M | -1.37%85.65M | -9.79%82.46M | -9.79%82.46M | -3.65%87.17M | -13.17%82.26M |
Non current deferred assets | 30.59%145.26M | 56.58%131.82M | 56.58%131.82M | 83.46%126.8M | 134.72%121.21M | 181.22%111.23M | 521.43%84.19M | 521.43%84.19M | 504.70%69.12M | 328.57%51.64M |
Other non current assets | -4.15%35.38M | 5.74%39.5M | 5.74%39.5M | 6.81%34.48M | 22.03%36.87M | 37.62%36.91M | 53.42%37.36M | 53.42%37.36M | 35.31%32.28M | 24.58%30.21M |
Total non current assets | 2.61%489.12M | 10.15%482.78M | 10.15%482.78M | 11.76%480.33M | 31.21%484.88M | 41.78%476.67M | 39.41%438.29M | 39.41%438.29M | 38.20%429.78M | 15.85%369.55M |
Total assets | 9.54%1.49B | 8.29%1.44B | 8.29%1.44B | 7.77%1.41B | 10.13%1.38B | 10.84%1.36B | 7.90%1.33B | 7.90%1.33B | 10.83%1.31B | 8.54%1.26B |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Payables | 13.37%102.59M | -15.68%81.54M | -15.68%81.54M | 7.78%88.92M | 12.70%90.23M | 63.07%90.5M | 49.34%96.7M | 49.34%96.7M | 103.61%82.5M | 59.33%80.07M |
-accounts payable | -28.10%42.46M | -26.51%39.04M | -26.51%39.04M | 6.69%52.81M | -10.42%57.49M | 23.79%59.05M | -17.96%53.12M | -17.96%53.12M | 22.16%49.5M | 27.71%64.18M |
-Total tax payable | 91.23%60.13M | -2.47%42.5M | -2.47%42.5M | 9.43%36.11M | 106.09%32.74M | 303.45%31.45M | --43.58M | --43.58M | --33M | --15.89M |
Current accrued expenses | -0.92%16.56M | 22.92%21.56M | 22.92%21.56M | 8.54%18.34M | 13.89%16.9M | 26.84%16.72M | -11.84%17.54M | -11.84%17.54M | -5.16%16.9M | 13.96%14.84M |
Current debt and capital lease obligation | -1.16%12.1M | -0.94%12.04M | -0.94%12.04M | 4.27%12.54M | 3.84%12.24M | 17.11%12.24M | 17.67%12.16M | 17.67%12.16M | 17.40%12.02M | 16.35%11.79M |
-Current capital lease obligation | -1.16%12.1M | -0.94%12.04M | -0.94%12.04M | 4.27%12.54M | 3.84%12.24M | 17.11%12.24M | 17.67%12.16M | 17.67%12.16M | 17.40%12.02M | 16.35%11.79M |
Current deferred liabilities | 26.77%11.13M | 35.19%10.19M | 35.19%10.19M | 31.18%10.34M | 38.97%9.67M | 50.27%8.78M | 32.35%7.54M | 32.35%7.54M | 11.97%7.88M | 10.44%6.96M |
Other current liabilities | 37.06%18.4M | 294.34%21.38M | 294.34%21.38M | 110.78%15.29M | 124.83%13.66M | 171.61%13.42M | 4.83%5.42M | 4.83%5.42M | 56.74%7.25M | 24.95%6.07M |
Current liabilities | 12.38%181.2M | 6.31%175.34M | 6.31%175.34M | 13.75%171.92M | 17.36%165.93M | 50.02%161.23M | 27.52%164.94M | 27.52%164.94M | 48.63%151.14M | 35.81%141.39M |
Non current liabilities | ||||||||||
Long term debt and capital lease obligation | -0.98%515.19M | -0.73%513.98M | -0.73%513.98M | -0.71%515.97M | -0.58%517.39M | 0.09%520.28M | 13.06%517.75M | 13.06%517.75M | 14.61%519.66M | 15.49%520.42M |
-Long term debt | 0.47%494.31M | 0.64%493.52M | 0.64%493.52M | 0.64%492.73M | 0.64%491.94M | 0.81%492M | 15.29%490.37M | 15.29%490.37M | 16.26%489.59M | 17.24%488.8M |
-Long term capital lease obligation | -26.14%20.89M | -25.24%20.47M | -25.24%20.47M | -22.71%23.25M | -19.49%25.45M | -10.97%28.28M | -15.99%27.38M | -15.99%27.38M | -6.96%30.07M | -6.17%31.61M |
Non current deferred liabilities | 14.25%13.09M | 17.61%12.69M | 17.61%12.69M | 18.44%12.5M | 14.66%11.79M | 17.14%11.46M | 18.07%10.79M | 18.07%10.79M | 16.77%10.56M | 17.94%10.28M |
Other non current liabilities | -12.30%11.7M | -2.70%12.7M | -2.70%12.7M | 12.52%13.07M | 156.51%15.51M | 40.77%13.35M | 36.72%13.05M | 36.72%13.05M | 36.12%11.61M | -29.27%6.05M |
Total non current liabilities | -0.94%539.98M | -0.41%539.37M | -0.41%539.37M | -0.05%541.54M | 1.48%544.69M | 1.12%545.08M | 13.63%541.59M | 13.63%541.59M | 15.04%541.83M | 14.72%536.75M |
Total liabilities | 2.10%721.18M | 1.16%714.71M | 1.16%714.71M | 2.96%713.46M | 4.79%710.62M | 9.25%706.31M | 16.60%706.53M | 16.60%706.53M | 21.00%692.97M | 18.56%678.13M |
Shareholders'equity | ||||||||||
Share capital | 1.56%521K | 1.76%519K | 1.76%519K | 1.77%517K | 1.58%515K | 1.58%513K | 1.19%510K | 1.19%510K | 1.40%508K | 1.40%507K |
-common stock | 1.56%521K | 1.76%519K | 1.76%519K | 1.77%517K | 1.58%515K | 1.58%513K | 1.19%510K | 1.19%510K | 1.40%508K | 1.40%507K |
-Preferred stock | --0 | --0 | --0 | --0 | --0 | --0 | --0 | --0 | --0 | --0 |
Retained earnings | 45.21%289.78M | 43.77%266.19M | 43.77%266.19M | 40.60%234.88M | 44.80%215.36M | 44.73%199.56M | 55.80%185.14M | 55.80%185.14M | 52.30%167.06M | 54.68%148.73M |
Paid-in capital | 7.60%547.83M | 6.95%531.73M | 6.95%531.73M | 9.49%529.07M | 10.57%518.25M | 12.37%509.13M | -0.36%497.2M | -0.36%497.2M | -1.81%483.23M | -2.75%468.7M |
Less: Treasury stock | 32.50%111.29M | 32.50%111.29M | 32.50%111.29M | 69.86%96.85M | 60.15%90.72M | 194.92%83.99M | 1,531.25%83.99M | 1,531.25%83.99M | 1,007.30%57.02M | 1,000.17%56.65M |
Gains losses not affecting retained earnings | 635.88%1.25M | --1.4M | --1.4M | --76K | --828K | --170K | --0 | --0 | ---- | ---- |
Total stockholders'equity | 16.42%728.09M | 14.98%688.55M | 14.98%688.55M | 12.45%667.7M | 14.78%644.23M | 11.08%625.38M | -2.33%598.86M | -2.33%598.86M | -0.57%593.78M | -2.12%561.28M |
Noncontrolling interests | 45.94%37.71M | 51.36%36.31M | 51.36%36.31M | 31.76%30.34M | 72.80%27.87M | 69.10%25.84M | 86.13%23.99M | 86.13%23.99M | 93.70%23.03M | 41.81%16.13M |
Total equity | 17.60%765.81M | 16.38%724.85M | 16.38%724.85M | 13.17%698.04M | 16.40%672.1M | 12.61%651.22M | -0.51%622.85M | -0.51%622.85M | 1.27%616.81M | -1.27%577.41M |
Currency Unit | USD | USD | USD | USD | USD | USD | USD | USD | USD | USD |
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 | -- | -- | -- |
No Data