Sample Name
Sample Code
Sample Name
Sample Code
Sample Name
Sample Code
4
Workday
WDAY
5
Precision Drilling
PDS
(FY)Dec 31, 2024 | (Q4)Dec 31, 2024 | (Q3)Sep 30, 2024 | (Q2)Jun 30, 2024 | (Q1)Mar 31, 2024 | (FY)Dec 31, 2023 | (Q4)Dec 31, 2023 | (Q3)Sep 30, 2023 | (Q2)Jun 30, 2023 | (Q1)Mar 31, 2023 | |
---|---|---|---|---|---|---|---|---|---|---|
Assets | ||||||||||
Current assets | ||||||||||
Cash, cash equivalents and short term investments | -41.29%23.4M | -41.29%23.4M | -36.68%30.63M | 73.46%95.47M | -30.08%43.88M | -47.72%39.86M | -47.72%39.86M | -0.21%48.37M | -23.05%55.04M | -41.96%62.76M |
-Cash and cash equivalents | -41.29%23.4M | -41.29%23.4M | -36.68%30.63M | 73.46%95.47M | -30.08%43.88M | -47.72%39.86M | -47.72%39.86M | -0.21%48.37M | -23.05%55.04M | -41.96%62.76M |
Receivables | 28.57%195.08M | 28.57%195.08M | -15.64%270.96M | -40.05%239.56M | -30.32%261.76M | -51.84%151.73M | -51.84%151.73M | 0.99%321.19M | 29.46%399.61M | 22.66%375.66M |
-Accounts receivable | 11.10%112.68M | 11.10%112.68M | -7.23%142.97M | -29.10%124.97M | -28.41%124.4M | -35.96%101.42M | -35.96%101.42M | 5.20%154.11M | 19.53%176.27M | 1.94%173.76M |
-Other receivables | 63.80%82.4M | 63.80%82.4M | -23.40%127.99M | -48.69%114.59M | -31.96%137.36M | -67.89%50.31M | -67.89%50.31M | -2.61%167.08M | 38.53%223.34M | 48.68%201.89M |
Inventory | 11.59%108.89M | 11.59%108.89M | 2.73%116.61M | -7.00%110.31M | 2.43%112.41M | -4.93%97.58M | -4.93%97.58M | 16.02%113.51M | 19.67%118.61M | 21.39%109.74M |
Restricted cash | 2,307.13%94.17M | 2,307.13%94.17M | 874.05%63.36M | 310.80%75.33M | 145.04%16.94M | -74.49%3.91M | -74.49%3.91M | -32.45%6.51M | 111.66%18.34M | -21.76%6.91M |
Other current assets | -40.53%25.1M | -40.53%25.1M | -4.69%21.77M | -6.26%24.96M | -24.47%22.98M | 56.28%42.2M | 56.28%42.2M | -7.16%22.84M | -3.42%26.62M | 11.25%30.42M |
Total current assets | -1.49%490.19M | -1.49%490.19M | -2.23%530.22M | -7.06%574.56M | -17.64%482.22M | -10.76%497.59M | -10.76%497.59M | 8.77%542.3M | 19.91%618.22M | 8.23%585.48M |
Non current assets | ||||||||||
Net PPE | 7.27%102.38M | 7.27%102.38M | -7.31%103.29M | -5.31%105.8M | -4.81%107.16M | -15.72%95.44M | -15.72%95.44M | -0.63%111.43M | 1.13%111.73M | 4.57%112.57M |
-Gross PPE | 4.59%231.59M | 4.59%231.59M | -6.36%248.99M | -0.53%264.76M | 0.79%265.41M | -14.75%221.44M | -14.75%221.44M | 5.12%265.92M | 4.85%266.17M | 5.80%263.32M |
-Accumulated depreciation | -2.55%-129.21M | -2.55%-129.21M | 5.69%-145.7M | -2.93%-158.96M | -4.98%-158.25M | 13.99%-125.99M | 13.99%-125.99M | -9.70%-154.49M | -7.71%-154.44M | -6.74%-150.75M |
Goodwill and other intangible assets | -6.91%101.19M | -6.91%101.19M | -25.96%108.44M | -46.80%114.36M | -33.61%143.47M | -28.49%108.7M | -28.49%108.7M | -31.88%146.47M | -5.86%214.96M | -9.90%216.09M |
-Goodwill | -3.51%82.14M | -3.51%82.14M | -15.74%84.58M | -46.99%83.84M | -35.99%100.66M | -15.25%85.12M | -15.25%85.12M | -35.33%100.38M | -4.02%158.15M | -9.81%157.26M |
-Other intangible assets | -19.21%19.05M | -19.21%19.05M | -48.23%23.86M | -46.27%30.52M | -27.22%42.82M | -54.27%23.58M | -54.27%23.58M | -22.93%46.09M | -10.63%56.8M | -10.12%58.83M |
Non current deferred assets | -98.05%41K | -98.05%41K | 36.14%6.34M | --2.09M | --2.09M | 5.14%2.11M | 5.14%2.11M | --4.66M | ---- | ---- |
Other non current assets | -53.81%33.19M | -53.81%33.19M | 73.76%56.34M | 24.62%52.31M | 11.62%60.58M | -38.49%71.86M | -38.49%71.86M | -41.91%32.42M | -29.54%41.97M | -18.08%54.28M |
Total non current assets | -14.85%236.8M | -14.85%236.8M | -6.97%274.41M | -25.52%274.56M | -18.18%313.3M | -27.59%278.11M | -27.59%278.11M | -22.98%294.98M | -7.46%368.66M | -7.44%382.94M |
Total assets | -6.28%726.99M | -6.28%726.99M | -3.90%804.63M | -13.96%849.12M | -17.85%795.52M | -17.63%775.7M | -17.63%775.7M | -5.02%837.28M | 7.98%986.88M | 1.44%968.42M |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Payables | 21.49%101.03M | 21.49%101.03M | -15.23%122.36M | -18.31%147.35M | -23.42%129.54M | -36.63%83.15M | -36.63%83.15M | 18.23%144.34M | 64.69%180.38M | 72.89%169.15M |
-accounts payable | 21.49%101.03M | 21.49%101.03M | -15.23%122.36M | -18.31%147.35M | -23.42%129.54M | -36.63%83.15M | -36.63%83.15M | 18.23%144.34M | 64.69%180.38M | 72.89%169.15M |
Current accrued expenses | -28.92%39.4M | -28.92%39.4M | -25.80%59.97M | -26.85%60.39M | -12.11%72.43M | -12.84%55.44M | -12.84%55.44M | 0.83%80.82M | 10.14%82.55M | -6.16%82.41M |
Current debt and capital lease obligation | 1,103.20%130.33M | 1,103.20%130.33M | -18.90%8.26M | -11.34%8.44M | 3.77%9.68M | 27.36%10.83M | 27.36%10.83M | 40.92%10.18M | 3.86%9.52M | -52.14%9.33M |
-Current debt | 1,926.84%125.14M | 1,926.84%125.14M | -43.51%2.98M | -21.79%3.48M | 4.68%4.47M | 61.33%6.17M | 61.33%6.17M | 128.86%5.27M | 17.51%4.44M | -68.19%4.27M |
-Current capital lease obligation | 11.51%5.19M | 11.51%5.19M | 7.44%5.28M | -2.21%4.97M | 3.01%5.2M | -0.43%4.66M | -0.43%4.66M | -0.16%4.92M | -5.72%5.08M | -16.51%5.05M |
Current deferred liabilities | -1.08%58.48M | -1.08%58.48M | -38.40%58.75M | -54.93%63.26M | -45.45%74.86M | -54.85%59.12M | -54.85%59.12M | -2.64%95.38M | 46.63%140.35M | 37.35%137.23M |
Other current liabilities | -60.56%54.4M | -60.56%54.4M | -27.05%36.95M | --42.61M | --35.18M | 457.27%137.93M | 457.27%137.93M | --50.65M | ---- | ---- |
Current liabilities | 10.93%388.49M | 10.93%388.49M | -24.30%297.93M | -21.56%333.89M | -18.87%332.93M | -5.74%350.22M | -5.74%350.22M | 23.16%393.54M | 40.69%425.64M | 29.33%410.37M |
Non current liabilities | ||||||||||
Long term debt and capital lease obligation | -3.73%407.6M | -3.73%407.6M | 23.86%525.26M | 28.99%524.13M | 22.17%488.94M | 5.38%423.4M | 5.38%423.4M | 8.97%424.06M | 5.24%406.33M | 3.56%400.21M |
-Long term debt | -6.57%348.78M | -6.57%348.78M | 26.89%472.43M | 33.79%473.33M | 25.83%437.12M | 7.06%373.31M | 7.06%373.31M | 11.46%372.32M | 7.03%353.78M | 5.16%347.38M |
-Long term capital lease obligation | 17.43%58.82M | 17.43%58.82M | 2.12%52.83M | -3.35%50.8M | -1.90%51.83M | -5.63%50.08M | -5.63%50.08M | -6.11%51.74M | -5.41%52.55M | -5.87%52.83M |
Non current deferred liabilities | 7.92%11.03M | 7.92%11.03M | 24.04%10.69M | 1.67%10.55M | 33.01%12.99M | -15.24%10.22M | -15.24%10.22M | --8.62M | --10.37M | --9.77M |
Employee benefits | 11.42%192.67M | 11.42%192.67M | 21.80%163.84M | 24.36%167.98M | 26.93%172.17M | 26.98%172.91M | 26.98%172.91M | -14.06%134.52M | -18.66%135.08M | -22.43%135.64M |
Other non current liabilities | -25.61%10.37M | -25.61%10.37M | -44.94%10.04M | -51.41%10.92M | -51.59%10.96M | -15.97%13.95M | -15.97%13.95M | -45.57%18.24M | -18.32%22.48M | -29.53%22.63M |
Total non current liabilities | -0.66%621.67M | -0.66%621.67M | 21.25%709.82M | 24.26%713.58M | 20.56%685.06M | 9.36%625.83M | 9.36%625.83M | 1.08%585.43M | -0.94%574.26M | -4.25%568.25M |
Total liabilities | 3.49%1.01B | 3.49%1.01B | 2.94%1.01B | 4.76%1.05B | 4.02%1.02B | 3.42%976.05M | 3.42%976.05M | 8.93%978.97M | 13.34%999.9M | 7.45%978.63M |
Shareholders'equity | ||||||||||
Share capital | 1.15%5.29M | 1.15%5.29M | 0.63%5.26M | 0.67%5.25M | 0.19%5.23M | 0.19%5.23M | 0.19%5.23M | 0.19%5.22M | 0.52%5.22M | 0.54%5.22M |
-common stock | 1.17%5.21M | 1.17%5.21M | 0.64%5.18M | 0.68%5.17M | 0.19%5.15M | 0.19%5.15M | 0.19%5.15M | 0.19%5.15M | 0.53%5.14M | 0.55%5.14M |
-Preferred stock | 0.00%77K | 0.00%77K | 0.00%77K | 0.00%77K | 0.00%77K | 0.00%77K | 0.00%77K | 0.00%77K | 0.00%77K | 0.00%77K |
Retained earnings | -4.76%-1.65B | -4.76%-1.65B | -4.95%-1.58B | -13.44%-1.57B | -15.74%-1.59B | -15.61%-1.57B | -15.61%-1.57B | -10.55%-1.5B | -3.32%-1.38B | -3.15%-1.38B |
Paid-in capital | 0.81%1.56B | 0.81%1.56B | 0.47%1.55B | 0.51%1.55B | 0.43%1.55B | 0.56%1.55B | 0.56%1.55B | 0.71%1.54B | 1.40%1.54B | 1.34%1.54B |
Less: Treasury stock | 0.29%115.5M | 0.29%115.5M | 0.25%115.44M | 1.20%115.18M | 1.18%115.16M | 1.24%115.16M | 1.24%115.16M | 1.23%115.15M | 2.40%113.82M | 2.39%113.82M |
Gains losses not affecting retained earnings | -30.59%-86.66M | -30.59%-86.66M | 8.33%-66.62M | -9.13%-70.09M | -1.89%-69.26M | 8.83%-66.36M | 8.83%-66.36M | 11.91%-72.67M | 7.39%-64.22M | -8.73%-67.97M |
Total stockholders'equity | -41.20%-283.76M | -41.20%-283.76M | -43.13%-203.69M | -1,368.54%-198.93M | -1,988.90%-223.01M | -7,707.34%-200.96M | -7,707.34%-200.96M | -689.81%-142.32M | -288.03%-13.55M | -156.39%-10.68M |
Noncontrolling interests | -3.27%591K | -3.27%591K | -7.99%576K | 11.22%585K | 15.74%544K | 25.98%611K | 25.98%611K | -29.74%626K | -97.85%526K | -98.12%470K |
Total equity | -41.34%-283.17M | -41.34%-283.17M | -43.35%-203.12M | -1,423.38%-198.34M | -2,079.77%-222.47M | -9,490.71%-200.35M | -9,490.71%-200.35M | -727.24%-141.69M | -141.05%-13.02M | -123.23%-10.21M |
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 | -- | -- | -- | -- |