Dec 23 | Sep 23 | Jun 23 | Mar 23 | Dec 22 | |
---|---|---|---|---|---|
Income Statement | - | ||||
Total Revenue | $ 3.82M | $ 665.00K | $ 8.18M | $ 10.56M | $ 57.94M |
Gross Profit | $ -426.00K | $ -1.45M | $ 689.00K | $ -569.00K | $ -1.67M |
EBIT | $ -40.80M | $ -61.73M | $ -33.86M | $ -84.74M | $ -167.59M |
EBITDA | $ -39.21M | $ -56.05M | $ -28.21M | $ -79.91M | $ -164.32M |
Net Income Common Stockholders | $ -41.01M | $ -63.01M | $ -35.50M | $ -84.32M | $ -157.00M |
Balance Sheet | - | ||||
Cash, Cash Equivalents and Short-Term Investments | $ 1.25M | $ 1.88M | $ 2.90M | $ 18.88M | $ 21.93M |
Total Assets | $ 116.88M | $ 151.28M | $ 292.64M | $ 316.99M | $ 242.80M |
Total Debt | $ 25.58M | $ 21.89M | $ 25.51M | $ 31.05M | $ 33.06M |
Net Debt | $ 24.33M | $ 20.01M | $ 22.61M | $ 12.17M | $ 11.13M |
Total Liabilities | $ 106.85M | $ 128.15M | $ 202.11M | $ 212.27M | $ 96.24M |
Stockholders Equity | $ -22.11M | $ 16.43M | $ 78.32M | $ 86.72M | $ 132.13M |
Cash Flow | - | ||||
Free Cash Flow | $ -7.89M | $ -5.80M | $ -17.58M | $ -21.38M | $ -20.65M |
Operating Cash Flow | $ -7.89M | $ -5.94M | $ -17.57M | $ -21.25M | $ -20.70M |
Investing Cash Flow | $ 4.67M | $ -587.00K | $ -59.00K | $ -2.20M | $ -3.87M |
Financing Cash Flow | $ 13.00K | $ 935.00K | $ 10.72M | $ 20.26M | $ 21.76M |