(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 | (Q1)Mar 31, 2022 | |
---|---|---|---|---|---|---|---|---|---|---|
Assets | ||||||||||
Current assets | ||||||||||
Cash, cash equivalents and short term investments | 172.34%3.71M | 172.34%3.71M | 98.69%3.29M | 7.02%1.24M | -63.75%2.06M | -83.48%1.36M | -83.48%1.36M | -77.02%1.66M | -85.70%1.16M | -52.64%5.69M |
-Cash and cash equivalents | 172.34%3.71M | 172.34%3.71M | 98.69%3.29M | 7.02%1.24M | -63.75%2.06M | -83.48%1.36M | -83.48%1.36M | -77.02%1.66M | -85.70%1.16M | -52.64%5.69M |
Receivables | --0 | --0 | --0 | --0 | -28.71%20K | --93.01K | --93.01K | --191.98K | --70.43K | -94.41%28.06K |
-Other receivables | ---- | ---- | ---- | ---- | -28.71%20K | --93.01K | --93.01K | --191.98K | --70.43K | -52.47%28.06K |
Prepaid assets | -36.40%1.24M | -36.40%1.24M | 21.87%684.27K | 98.30%1.12M | 74.75%1.45M | 66.36%1.96M | 66.36%1.96M | 92.38%561.46K | 4.23%563.66K | 28.61%827.13K |
Current deferred assets | ---- | ---- | ---- | ---- | ---- | ---- | ---- | --138.68K | ---- | ---- |
Total current assets | 45.23%4.96M | 45.23%4.96M | 56.00%3.98M | 31.56%2.35M | -46.11%3.53M | -63.79%3.41M | -63.79%3.41M | -66.02%2.55M | -79.23%1.79M | -50.27%6.55M |
Non current assets | ||||||||||
Net PPE | -30.71%210.01K | -30.71%210.01K | -28.24%233.72K | -26.11%257.13K | -26.02%280.25K | -25.95%303.1K | -25.95%303.1K | -27.45%325.67K | -28.23%347.98K | 514.78%378.8K |
-Gross PPE | -18.39%283.26K | -18.39%283.26K | -17.30%299.65K | -16.32%315.75K | -17.28%331.55K | -18.14%347.08K | -18.14%347.08K | -20.60%362.33K | -22.38%377.32K | 393.63%400.83K |
-Accumulated depreciation | -66.56%-73.25K | -66.56%-73.25K | -79.85%-65.93K | -99.76%-58.62K | -132.90%-51.3K | -199.01%-43.98K | -199.01%-43.98K | -393.42%-36.66K | -2,295.35%-29.34K | -12.46%-22.03K |
Goodwill and other intangible assets | 0.00%1.68M | 0.00%1.68M | -1.78%1.68M | -4.08%1.68M | -9.55%1.68M | -11.90%1.68M | -11.90%1.68M | -61.28%1.71M | -61.89%1.76M | -60.56%1.86M |
-Goodwill | 0.00%1.68M | 0.00%1.68M | -1.78%1.68M | -4.08%1.68M | -9.55%1.68M | -11.90%1.68M | -11.90%1.68M | -11.82%1.71M | -11.82%1.76M | -5.67%1.86M |
Non current prepaid assets | -38.01%11.25K | -38.01%11.25K | -67.20%11.25K | -67.23%11.25K | -47.24%18.15K | -58.76%18.15K | -58.76%18.15K | -22.11%34.3K | -50.68%34.33K | 17.63%34.4K |
Other non current assets | 0.04%21.52K | 0.04%21.52K | 0.07%21.52K | --21.52K | --21.52K | --21.51K | --21.51K | --21.51K | ---- | ---- |
Total non current assets | -4.93%1.93M | -4.93%1.93M | -6.95%1.95M | -7.67%1.97M | -11.92%2M | -14.29%2.03M | -14.29%2.03M | -57.41%2.1M | -58.57%2.14M | -52.72%2.28M |
Total assets | 26.54%6.88M | 26.54%6.88M | 27.59%5.93M | 10.20%4.33M | -37.30%5.53M | -53.86%5.44M | -53.86%5.44M | -62.61%4.65M | -71.49%3.93M | -50.92%8.83M |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Payables | 9.61%1.62M | 9.61%1.62M | -75.23%1.57M | -84.75%2.53M | -89.86%1.32M | -86.74%1.48M | -86.74%1.48M | -66.24%6.35M | 180.22%16.62M | 349.24%13.01M |
-accounts payable | -23.02%554.28K | -23.02%554.28K | -83.83%579.29K | -59.88%1.59M | -86.38%469.76K | -73.41%720.04K | -73.41%720.04K | -80.58%3.58M | -10.87%3.97M | 139.46%3.45M |
-Dividends payable | 40.46%1.07M | 40.46%1.07M | 29.99%992.54K | 44.39%943.24K | 52.64%848.92K | 63.63%761.49K | 63.63%761.49K | 118.70%763.56K | 182.75%653.28K | 172.11%556.15K |
-Other payable | ---- | ---- | ---- | ---- | ---- | ---- | ---- | --2M | 860.00%12M | 620.00%9M |
Current accrued expenses | 157.76%825.29K | 157.76%825.29K | 206.51%834.54K | 12.58%479.86K | 17.87%845.73K | -18.58%320.18K | -18.58%320.18K | 101.57%272.27K | 119.74%426.24K | 168.61%717.51K |
Current debt and capital lease obligation | 1.53%679.9K | 1.53%679.9K | 1.44%65.32K | -3.36%217.04K | -5.33%448.33K | -6.89%669.65K | -6.89%669.65K | -32.07%64.4K | -12.97%224.58K | 17.28%473.55K |
-Current debt | 1.54%612.78K | 1.54%612.78K | ---- | -5.21%153.48K | -5.56%380.39K | -5.89%603.49K | -5.89%603.49K | ---- | 16.01%161.91K | 16.04%402.77K |
-Current capital lease obligation | 1.45%67.11K | 1.45%67.11K | 1.44%65.32K | 1.42%63.56K | -4.02%67.94K | -15.18%66.15K | -15.18%66.15K | -32.07%64.4K | -47.11%62.67K | 24.84%70.78K |
Other current liabilities | -65.08%4.24K | -65.08%4.24K | -1.32%10.81K | 123.05%29.91K | -34.73%12.12K | -18.09%12.14K | -18.09%12.14K | -84.68%10.95K | -81.15%13.41K | 115.16%18.58K |
Current liabilities | 26.17%3.13M | 26.17%3.13M | -62.92%2.48M | -81.13%3.26M | -81.54%2.62M | -79.81%2.48M | -79.81%2.48M | -64.95%6.69M | 167.80%17.28M | 297.68%14.22M |
Non current liabilities | ||||||||||
Long term debt and capital lease obligation | -31.35%146.95K | -31.35%146.95K | -28.24%165.97K | -25.61%184.66K | -25.69%196.52K | -31.20%214.06K | -31.20%214.06K | -21.78%231.29K | -13.13%248.23K | 3,927.72%264.46K |
-Long term capital lease obligation | -31.35%146.95K | -31.35%146.95K | -28.24%165.97K | -25.61%184.66K | -25.69%196.52K | -31.20%214.06K | -31.20%214.06K | -21.78%231.29K | -13.13%248.23K | 3,927.72%264.46K |
Total non current liabilities | -31.35%146.95K | -31.35%146.95K | -28.24%165.97K | -77.84%184.66K | -94.89%196.52K | -97.07%214.06K | -97.07%214.06K | -21.78%231.29K | 191.61%833.27K | 58,527.84%3.85M |
Total liabilities | 21.60%3.28M | 21.60%3.28M | -61.76%2.65M | -80.98%3.45M | -84.38%2.82M | -86.25%2.7M | -86.25%2.7M | -64.29%6.93M | 168.81%18.12M | 404.45%18.07M |
Shareholders'equity | ||||||||||
Share capital | 3,020.00%156 | 3,020.00%156 | 482.68%1.35K | -81.45%421 | -92.80%155 | -28.57%5 | -28.57%5 | -79.23%231 | -72.52%2.27K | -71.25%2.15K |
-common stock | 3,020.00%156 | 3,020.00%156 | 482.68%1.35K | -81.45%421 | -92.80%155 | -28.57%5 | -28.57%5 | -79.23%231 | -72.52%2.27K | -71.25%2.15K |
-Preferred stock | --0 | --0 | --0 | --0 | --0 | --0 | --0 | --0 | --0 | --0 |
Retained earnings | -9.37%-184.33M | -9.37%-184.33M | -9.53%-180.23M | -4.65%-176.79M | -5.55%-172.6M | -9.51%-168.53M | -9.51%-168.53M | -15.28%-164.55M | -50.39%-168.94M | -58.69%-163.53M |
Paid-in capital | 9.72%187.93M | 9.72%187.93M | 12.08%183.51M | 13.77%177.68M | 12.69%175.32M | 16.27%171.28M | 16.27%171.28M | 19.48%163.72M | 29.51%156.17M | 31.07%155.57M |
Gains losses not affecting retained earnings | ---- | ---- | ---- | ---- | ---- | ---- | ---- | -14.81%-1.45M | -15.83%-1.42M | -2.82%-1.28M |
Total stockholders'equity | 31.39%3.6M | 31.39%3.6M | 243.80%3.28M | 106.22%881.96K | 129.36%2.71M | 135.06%2.74M | 135.06%2.74M | 67.29%-2.28M | -301.65%-14.19M | -164.16%-9.24M |
Total equity | 31.39%3.6M | 31.39%3.6M | 243.80%3.28M | 106.22%881.96K | 129.36%2.71M | 135.06%2.74M | 135.06%2.74M | 67.29%-2.28M | -301.65%-14.19M | -164.16%-9.24M |
Currency Unit | USD | USD | USD | USD | USD | USD | USD | USD | USD | USD |
Audit Opinions | Unqualified Opinion | -- | -- | -- | -- | Unqualified Opinion with Explanatory Notes | -- | -- | -- | -- |
No Data