Balance sheets
Jun 30, 2023 | Mar 31, 2023 | Dec 31, 2022 | Sep 30, 2022 | Jun 30, 2022 | Mar 31, 2022 | Dec 31, 2021 | Sep 30, 2021 | Jun 30, 2021 | Mar 31, 2021 | Dec 31, 2020 | Sep 30, 2020 | Jun 30, 2020 | Mar 31, 2020 | Dec 31, 2019 | Sep 1, 2019 | ||
---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
Total Assets | $94.4 M(-14.6%) | $110.5 M(-10.5%) | $123.4 M(-13.3%) | $142.3 M(-10.1%) | $158.3 M(-8.9%) | $173.8 M(-5.8%) | $184.5 M(-0.4%) | $185.3 M(-5.9%) | $196.9 M(-4.9%) | $207.1 M(+207.8%) | $67.3 M(+352.7%) | $14.9 M | - | - | $42.8 M | - | |
Current Assets | $80.4 M(-16.1%) | $95.9 M(-11.3%) | $108.0 M(-14.5%) | $126.3 M(-10.7%) | $141.4 M(-6.5%) | $151.2 M(-7.9%) | $164.2 M(+9.6%) | $149.9 M(-7.1%) | $161.3 M(-15.4%) | $190.7 M(+229.8%) | $57.8 M(+761.6%) | $6.7 M | - | - | $33.6 M | - | |
Non Current Assets | $13.9 M(-4.4%) | $14.6 M(-4.9%) | $15.3 M(-4.0%) | $16.0 M(-5.3%) | $16.9 M(-25.1%) | $22.5 M(+11.1%) | $20.3 M(-42.7%) | $35.4 M(-0.5%) | $35.6 M(+117.7%) | $16.4 M(+72.9%) | $9.5 M(+16.0%) | $8.2 M | - | - | $9.3 M | - | |
Total Liabilities | $41.1 M(+1.1%) | $40.6 M(-2.3%) | $41.6 M(-8.5%) | $45.5 M(-2.1%) | $46.4 M(+1.6%) | $45.7 M(+6.7%) | $42.8 M(+37.4%) | $31.1 M(+13.3%) | $27.5 M(+2.5%) | $26.8 M(-7.4%) | $29.0 M(+16.6%) | $24.9 M | - | - | $27.0 M | - | |
Current Liabilities | $26.6 M(+14.7%) | $23.2 M(+3.3%) | $22.4 M(-4.0%) | $23.4 M(+2.2%) | $22.9 M(+26.3%) | $18.1 M(-11.8%) | $20.5 M(+24.5%) | $16.5 M(-0.8%) | $16.6 M(+9.5%) | $15.2 M(-21.6%) | $19.4 M(+60.9%) | $12.0 M | - | - | $9.5 M | - | |
Long Term Liabilities | $14.5 M(-16.8%) | $17.4 M(-8.9%) | $19.1 M(-13.3%) | $22.1 M(-6.2%) | $23.5 M(-14.6%) | $27.6 M(+23.9%) | $22.3 M(+52.0%) | $14.6 M(+34.9%) | $10.8 M(-6.7%) | $11.6 M(+21.1%) | $9.6 M(-25.1%) | $12.8 M | - | - | $17.5 M | - | |
Shareholders Equity | $53.3 M(-23.7%) | $69.8 M(-14.6%) | $81.8 M(-15.5%) | $96.8 M(-13.4%) | $111.9 M(-12.7%) | $128.1 M(-9.6%) | $141.7 M(-8.1%) | $154.2 M(-9.0%) | $169.4 M(-6.0%) | $180.3 M(+370.6%) | $38.3 M(+483.3%) | -$10.0 M | - | - | $15.8 M | - | |
Book Value | $53.3 M(-23.7%) | $69.8 M(-14.6%) | $81.8 M(-15.5%) | $96.8 M(-13.4%) | $111.9 M(-12.7%) | $128.1 M(-9.6%) | $141.7 M(-8.1%) | $154.2 M(-9.0%) | $169.4 M(-6.0%) | $180.3 M(+429.1%) | -$54.8 M(+62.9%) | -$147.6 M | - | - | -$121.8 M | - | |
Working Capital | $53.9 M(-25.9%) | $72.7 M(-15.1%) | $85.6 M(-16.8%) | $102.9 M(-13.2%) | $118.5 M(-11.0%) | $133.1 M(-7.3%) | $143.7 M(+7.7%) | $133.4 M(-7.8%) | $144.7 M(-17.6%) | $175.5 M(+356.5%) | $38.5 M(+821.6%) | -$5.3 M | - | - | $24.1 M | - | |
Cash And Cash Equivalents | $39.8 M(+4.6%) | $38.1 M(+10.0%) | $34.6 M(-5.7%) | $36.7 M(-35.0%) | $56.5 M(+423.7%) | $10.8 M(-70.4%) | $36.5 M(-29.1%) | $51.4 M(+36.4%) | $37.7 M(-27.9%) | $52.2 M(+88.3%) | $27.7 M(+433.7%) | $5.2 M | - | - | $18.6 M | - | |
Accounts Payable | $617.0 K(-51.7%) | $1.3 M(+20.1%) | $1.1 M(-64.9%) | $3.0 M(+58.3%) | $1.9 M(+58.1%) | $1.2 M(-69.8%) | $4.0 M(+121.2%) | $1.8 M(-15.3%) | $2.1 M(+114.1%) | $1.0 M(-53.1%) | $2.1 M(+78.5%) | $1.2 M | - | - | $1.0 M | - | |
Accounts Receivable | - | $4.4 M(+100.0%) | $0.0(-100.0%) | $10.0 M(0%) | $10.0 M(0%) | $10.0 M(-12.3%) | $11.4 M(+262.9%) | $3.1 M(+82.8%) | $1.7 M(-59.4%) | $4.2 M(+242.5%) | $1.2 M | - | - | - | $0.0 | - | |
Short Term Debt | $3.7 M(+2.1%) | $3.6 M(+0.1%) | $3.6 M(-0.9%) | $3.6 M(-0.8%) | $3.6 M(-0.9%) | $3.7 M(+1628.6%) | $213.0 K(+2.4%) | $208.0 K(+3.5%) | $201.0 K(+2.0%) | $197.0 K(+2.1%) | $193.0 K(-39.3%) | $318.0 K | - | - | $0.0 | - | |
Long Term Debt | $9.2 M(-6.4%) | $9.8 M(-6.3%) | $10.5 M(-5.7%) | $11.1 M(-5.3%) | $11.7 M(-4.9%) | $12.3 M(+100.0%) | $0.0 | - | - | - | - | - | - | - | - | - | |
Total Debt | $12.8 M(-4.1%) | $13.4 M(-4.7%) | $14.1 M(-4.5%) | $14.7 M(-4.3%) | $15.4 M(-3.9%) | $16.0 M(+7415.5%) | $213.0 K(+2.4%) | $208.0 K(+3.5%) | $201.0 K(+2.0%) | $197.0 K(+2.1%) | $193.0 K(-39.3%) | $318.0 K(+100.0%) | $0.0(0%) | $0.0(0%) | $0.0(0%) | $0.0 | |
Debt To Equity | 0.2(+26.3%) | 0.2(+11.8%) | 0.2(+13.3%) | 0.1(+7.1%) | 0.1(+16.7%) | 0.1(+100.0%) | 0.0(0%) | 0.0(0%) | 0.0(0%) | 0.0(-100.0%) | 0.0(+133.3%) | -0.0 | - | - | 0.0 | - | |
Current Ratio | 3.0(-26.8%) | 4.1(-13.9%) | 4.8(-10.9%) | 5.4(-12.6%) | 6.2(-26.0%) | 8.3(+4.5%) | 8.0(-12.0%) | 9.1(-6.4%) | 9.7(-22.8%) | 12.6(+321.5%) | 3.0(+432.1%) | 0.6 | - | - | 3.5 | - | |
Quick Ratio | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | |
Inventory | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | |
Retained Earnings | -$309.0 M(-6.2%) | -$290.8 M(-4.8%) | -$277.5 M(-6.1%) | -$261.6 M(-6.5%) | -$245.6 M(-7.5%) | -$228.5 M(-6.5%) | -$214.5 M(-6.4%) | -$201.6 M(-8.8%) | -$185.2 M(-6.7%) | -$173.6 M(-6.7%) | -$162.7 M(-8.6%) | -$149.8 M | - | - | -$123.4 M | - | |
PB Ratio | 1.8(+60.5%) | 1.1(+73.0%) | 0.6(-29.2%) | 0.9(-5.3%) | 0.9(+59.3%) | 0.6(-28.1%) | 0.8(-34.4%) | 1.3(-0.8%) | 1.3(-19.8%) | 1.6 | - | - | - | - | - | - |
Income statements
Jun 30, 2023 | Mar 31, 2023 | Dec 31, 2022 | Sep 30, 2022 | Jun 30, 2022 | Mar 31, 2022 | Dec 31, 2021 | Sep 30, 2021 | Jun 30, 2021 | Mar 31, 2021 | Dec 31, 2020 | Sep 30, 2020 | Jun 30, 2020 | Mar 31, 2020 | Dec 31, 2019 | Sep 1, 2019 | ||
---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
EPS | -$0.7(-37.7%) | -$0.5(+15.9%) | -$0.6(+1.6%) | -$0.6(+5.9%) | -$0.7(-21.4%) | -$0.6(-14.3%) | -$0.5(+25.8%) | -$0.7(-40.4%) | -$0.5(+56.9%) | -$1.1(-4367.2%) | -$0.0(+98.2%) | -$1.3(+6.3%) | -$1.4(+26.1%) | -$1.9(+17.2%) | -$2.3 | - | |
TTM EPS | -$2.5(-2.0%) | -$2.5(+1.2%) | -$2.5(-5.9%) | -$2.4(+0.8%) | -$2.4(-9.6%) | -$2.2(+19.6%) | -$2.7(-20.7%) | -$2.2(+23.4%) | -$2.9(+24.8%) | -$3.9(+17.9%) | -$4.7(+32.8%) | -$7.1(-23.5%) | -$5.7(-33.5%) | -$4.3(-82.8%) | -$2.3 | - | |
Revenue | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | |
TTM Revenue | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | |
Total Expenses | $19.0 M(+34.8%) | $14.1 M(-14.3%) | $16.5 M(+0.8%) | $16.3 M(-4.4%) | $17.1 M(+22.0%) | $14.0 M(+8.7%) | $12.9 M(-12.2%) | $14.7 M(+25.4%) | $11.7 M(+7.5%) | $10.9 M(-16.2%) | $13.0 M(+83.5%) | $7.1 M(-9.8%) | $7.9 M(-32.4%) | $11.6 M(+80.5%) | $6.4 M | - | |
Operating Expenses | $19.0 M(+34.8%) | $14.1 M(-14.3%) | $16.5 M(+0.8%) | $16.3 M(-4.4%) | $17.1 M(+22.0%) | $14.0 M(+8.7%) | $12.9 M(-12.2%) | $14.7 M(+25.4%) | $11.7 M(+7.5%) | $10.9 M(-16.2%) | $13.0 M(+83.5%) | $7.1 M(-9.8%) | $7.9 M(-32.4%) | $11.6 M(+80.5%) | $6.4 M | - | |
Cost Of Goods Sold | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | |
TTM Cost Of Goods Sold | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | |
Gross Profit | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | |
TTM Gross Profit | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | |
Gross Margin | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | |
Operating Profit | -$19.0 M(-34.8%) | -$14.1 M(+14.3%) | -$16.5 M(-0.8%) | -$16.3 M(+4.4%) | -$17.1 M(-22.0%) | -$14.0 M(-8.7%) | -$12.9 M(+12.2%) | -$14.7 M(-25.4%) | -$11.7 M(-7.5%) | -$10.9 M(+16.2%) | -$13.0 M(-83.5%) | -$7.1 M(+9.8%) | -$7.9 M(+32.4%) | -$11.6 M(-80.5%) | -$6.4 M | - | |
TTM Operating Profit | -$66.0 M(-3.0%) | -$64.1 M(-0.2%) | -$64.0 M(-5.9%) | -$60.4 M(-2.8%) | -$58.7 M(-10.1%) | -$53.3 M(-6.2%) | -$50.2 M(+0.2%) | -$50.3 M(-17.8%) | -$42.7 M(-10.0%) | -$38.9 M(+1.8%) | -$39.6 M(-19.9%) | -$33.0 M(-27.4%) | -$25.9 M(-43.5%) | -$18.1 M(-180.4%) | -$6.4 M | - | |
Operating Margin | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | |
Net Income | -$18.1 M(-36.4%) | -$13.3 M(+16.5%) | -$15.9 M(+0.4%) | -$16.0 M(+6.1%) | -$17.0 M(-21.6%) | -$14.0 M(-8.6%) | -$12.9 M(+21.3%) | -$16.4 M(-40.8%) | -$11.7 M(-7.2%) | -$10.9 M(+15.6%) | -$12.9 M(-81.2%) | -$7.1 M(+8.9%) | -$7.8 M(+32.3%) | -$11.5 M(-85.5%) | -$6.2 M | - | |
TTM Net Income | -$63.4 M(-1.8%) | -$62.3 M(+1.1%) | -$63.0 M(-5.1%) | -$60.0 M(+0.7%) | -$60.4 M(-9.8%) | -$55.0 M(-6.1%) | -$51.8 M(-0.0%) | -$51.8 M(-21.9%) | -$42.5 M(-9.9%) | -$38.7 M(+1.7%) | -$39.3 M(-20.4%) | -$32.7 M(-27.8%) | -$25.6 M(-44.0%) | -$17.8 M(-185.5%) | -$6.2 M | - | |
Net Margin | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | |
EBIT | -$19.0 M(-34.8%) | -$14.1 M(+14.3%) | -$16.5 M(-0.8%) | -$16.3 M(+4.4%) | -$17.1 M(-22.0%) | -$14.0 M(-8.7%) | -$12.9 M(+12.2%) | -$14.7 M(-25.4%) | -$11.7 M(-7.5%) | -$10.9 M(+16.2%) | -$13.0 M(-83.5%) | -$7.1 M(+9.8%) | -$7.9 M(+32.4%) | -$11.6 M(-80.5%) | -$6.4 M | - | |
TTM EBIT | -$66.0 M(-3.0%) | -$64.1 M(-0.2%) | -$64.0 M(-5.9%) | -$60.4 M(-2.8%) | -$58.7 M(-10.1%) | -$53.3 M(-6.2%) | -$50.2 M(+0.2%) | -$50.3 M(-17.8%) | -$42.7 M(-10.0%) | -$38.9 M(+1.8%) | -$39.6 M(-19.9%) | -$33.0 M(-27.4%) | -$25.9 M(-43.5%) | -$18.1 M(-180.4%) | -$6.4 M | - | |
EBITDA | -$18.7 M(-35.8%) | -$13.8 M(+14.5%) | -$16.1 M(-0.8%) | -$16.0 M(+4.5%) | -$16.7 M(-22.6%) | -$13.7 M(-8.4%) | -$12.6 M(+12.3%) | -$14.4 M(-26.1%) | -$11.4 M(-8.7%) | -$10.5 M(+17.3%) | -$12.7 M(-89.2%) | -$6.7 M(+10.0%) | -$7.4 M(+33.1%) | -$11.1 M(-89.2%) | -$5.9 M | - | |
TTM EBITDA | -$64.6 M(-3.2%) | -$62.6 M(-0.2%) | -$62.5 M(-6.0%) | -$59.0 M(-2.8%) | -$57.3 M(-10.3%) | -$52.0 M(-6.5%) | -$48.8 M(+0.1%) | -$48.9 M(-18.6%) | -$41.2 M(-10.6%) | -$37.3 M(+1.7%) | -$37.9 M(-21.8%) | -$31.1 M(-27.4%) | -$24.4 M(-43.7%) | -$17.0 M(-189.2%) | -$5.9 M | - | |
Selling, General & Administrative Expenses | $6.2 M(+0.4%) | $6.2 M(+26.4%) | $4.9 M(-22.6%) | $6.3 M(+7.8%) | $5.9 M(-10.5%) | $6.6 M(+33.1%) | $4.9 M(-13.3%) | $5.7 M(+15.9%) | $4.9 M(+0.3%) | $4.9 M(-4.5%) | $5.1 M(+113.2%) | $2.4 M(-6.2%) | $2.6 M(-38.9%) | $4.2 M(+28.1%) | $3.3 M | - | |
TTM SGA | $23.6 M(+1.5%) | $23.3 M(-1.6%) | $23.6 M(-0.1%) | $23.7 M(+2.8%) | $23.0 M(+4.4%) | $22.1 M(+8.2%) | $20.4 M(-0.9%) | $20.6 M(+19.0%) | $17.3 M(+15.7%) | $14.9 M(+5.0%) | $14.2 M(+14.9%) | $12.4 M(+24.0%) | $10.0 M(+34.3%) | $7.4 M(+128.1%) | $3.3 M | - | |
Depreciation And Amortization | $323.0 K(-5.0%) | $340.0 K(-9.1%) | $374.0 K(+4.2%) | $359.0 K(-0.8%) | $362.0 K(-1.4%) | $367.0 K(+18.8%) | $309.0 K(-9.1%) | $340.0 K(+0.9%) | $337.0 K(-21.1%) | $427.0 K(+23.8%) | $345.0 K(-12.4%) | $394.0 K(-5.3%) | $416.0 K(-14.6%) | $487.0 K | - | - | |
TTM D&A | $1.4 M(-2.7%) | $1.4 M(-1.9%) | $1.5 M(+4.7%) | $1.4 M(+1.4%) | $1.4 M(+1.9%) | $1.4 M(-4.3%) | $1.4 M(-2.5%) | $1.4 M(-3.6%) | $1.5 M(-5.0%) | $1.6 M(-3.6%) | $1.6 M(+26.6%) | $1.3 M(+43.6%) | $903.0 K(+85.4%) | $487.0 K | - | - | |
Interest Expense | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | |
TTM Interest Expense | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | |
Income Tax | $80.0 K(+31.1%) | $61.0 K(-45.5%) | $112.0 K(+273.3%) | $30.0 K(-21.1%) | $38.0 K(-36.7%) | $60.0 K(-7.7%) | $65.0 K(-96.3%) | $1.7 M(+100.0%) | $0.0(0%) | $0.0(0%) | $0.0(0%) | $0.0 | - | - | - | - | |
TTM Income Tax | $283.0 K(+17.4%) | $241.0 K(+0.4%) | $240.0 K(+24.4%) | $193.0 K(-89.8%) | $1.9 M(+2.0%) | $1.9 M(+3.3%) | $1.8 M(+3.8%) | $1.7 M(+100.0%) | $0.0(0%) | $0.0(0%) | $0.0(0%) | $0.0 | - | - | - | - | |
PE Ratio | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | |
PS Ratio | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - |
Cashflow statements
Jun 30, 2023 | Mar 31, 2023 | Dec 31, 2022 | Sep 30, 2022 | Jun 30, 2022 | Mar 31, 2022 | Dec 31, 2021 | Sep 30, 2021 | Jun 30, 2021 | Mar 31, 2021 | Dec 31, 2020 | Sep 30, 2020 | Jun 30, 2020 | Mar 31, 2020 | Dec 31, 2019 | Sep 1, 2019 | ||
---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
Cash From Operations | -$10.3 M(+39.8%) | -$17.1 M(-119.6%) | -$7.8 M(+43.4%) | -$13.7 M(-2.3%) | -$13.4 M(+39.1%) | -$22.0 M(-130.6%) | -$9.5 M(+18.1%) | -$11.7 M(-106.2%) | -$5.6 M(+65.4%) | -$16.3 M(-216.7%) | -$5.1 M(+33.0%) | -$7.7 M(+3.0%) | -$7.9 M(+33.5%) | -$11.9 M | - | - | |
TTM CFO | -$48.8 M(+6.0%) | -$51.9 M(+8.7%) | -$56.9 M(+3.0%) | -$58.7 M(-3.6%) | -$56.6 M(-15.9%) | -$48.9 M(-13.2%) | -$43.1 M(-11.3%) | -$38.8 M(-11.4%) | -$34.8 M(+6.1%) | -$37.1 M(-13.5%) | -$32.7 M(-18.7%) | -$27.5 M(-38.7%) | -$19.8 M(-66.5%) | -$11.9 M | - | - | |
Cash From Investing | $11.8 M(-42.1%) | $20.3 M(+259.7%) | $5.6 M(+194.2%) | -$6.0 M(-110.2%) | $59.1 M(+1733.4%) | -$3.6 M(+35.0%) | -$5.6 M(-122.0%) | $25.3 M(+404.7%) | -$8.3 M(+92.6%) | -$112.4 M(-321.2%) | -$26.7 M(-32653.7%) | $82.0 K(-95.7%) | $1.9 M(-83.7%) | $11.7 M | - | - | |
TTM CFI | $31.7 M(-59.8%) | $79.0 M(+43.4%) | $55.1 M(+25.6%) | $43.9 M(-41.6%) | $75.2 M(+860.2%) | $7.8 M(+107.8%) | -$101.0 M(+17.3%) | -$122.1 M(+17.1%) | -$147.4 M(-7.5%) | -$137.2 M(-954.0%) | -$13.0 M(-195.1%) | $13.7 M(+0.6%) | $13.6 M(+16.3%) | $11.7 M | - | - | |
Cash From Financing | $206.0 K(+4.6%) | $197.0 K(+458.2%) | -$55.0 K(-1.9%) | -$54.0 K(-3.9%) | -$52.0 K(0%) | -$52.0 K(-134.4%) | $151.0 K(+196.1%) | $51.0 K(+106.1%) | -$840.0 K(-100.5%) | $153.1 M(+181.6%) | $54.4 M(+11571.0%) | $466.0 K(+100.0%) | $0.0(0%) | $0.0 | - | - | |
TTM CFF | $294.0 K(+716.7%) | $36.0 K(+116.9%) | -$213.0 K(-2942.9%) | -$7000.0(-107.1%) | $98.0 K(+114.2%) | -$690.0 K(-100.5%) | $152.5 M(-26.2%) | $206.7 M(-0.2%) | $207.2 M(-0.4%) | $208.0 M(+279.2%) | $54.9 M(+11671.0%) | $466.0 K(+100.0%) | $0.0(0%) | $0.0 | - | - | |
Free Cash Flow | -$10.3 M(+40.8%) | -$17.3 M(-117.5%) | -$8.0 M(+42.1%) | -$13.8 M(-1.7%) | -$13.5 M(+38.8%) | -$22.1 M(-124.0%) | -$9.9 M(+17.5%) | -$12.0 M(-110.5%) | -$5.7 M(+65.3%) | -$16.4 M(-211.2%) | -$5.3 M(+31.6%) | -$7.7 M(+4.1%) | -$8.0 M(+33.0%) | -$12.0 M | - | - | |
TTM FCF | -$49.3 M(+6.2%) | -$52.6 M(+8.3%) | -$57.4 M(+3.2%) | -$59.3 M(-3.1%) | -$57.5 M(-15.8%) | -$49.6 M(-13.1%) | -$43.9 M(-11.7%) | -$39.3 M(-12.2%) | -$35.0 M(+6.3%) | -$37.3 M(-13.4%) | -$32.9 M(-19.0%) | -$27.7 M(-38.5%) | -$20.0 M(-67.0%) | -$12.0 M | - | - | |
CAPEX | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | |
TTM CAPEX | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | |
Dividends Paid | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | |
TTM Dividends Paid | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | |
TTM Dividend Per Share | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | |
TTM Dividend Yield | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | |
Payout Ratio | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - |