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SEGMENT REPORTING (Tables)
3 Months Ended
Mar. 31, 2022
SEGMENT REPORTING  
Schedule of information for each operating segment

The following tables provide information for each operating segment (in thousands):

For the Three Months Ended March 31, 2022

    

    

    

    

International

US

Renewable

Corporate and

Telecom

Telecom

Energy

Other (1)

Consolidated

Revenue

Communication Services

Mobility - Business

$

3,616

$

374

$

$

$

3,990

Mobility - Consumer

19,970

1,456

21,426

Total Mobility

23,586

1,830

25,416

Fixed - Business

17,254

27,145

44,399

Fixed - Consumer

41,093

18,968

60,061

Total Fixed

58,347

 

46,113

 

 

 

104,460

Carrier Services

3,402

32,989

36,391

Other

 

276

276

Total Communication Services Revenue

 

85,611

80,932

166,543

Construction

1,987

1,987

Other

Managed Services

1,176

2,313

3,489

Total Other Revenue

1,176

2,313

3,489

Total Revenue

86,787

85,232

172,019

Depreciation

 

13,897

 

18,442

 

 

953

 

33,292

Amortization of intangibles from acquisitions

418

2,840

3,258

Non-cash stock-based compensation

 

60

 

90

 

 

1,311

 

1,461

Operating income (loss)

 

11,803

 

(4,635)

 

(23)

 

(7,037)

 

108

For the Three Months Ended March 31, 2021

    

    

    

    

    

    

International

US

Renewable

Corporate and

Telecom

Telecom

Energy

Other (1)

Consolidated

Revenue

Communication Services

Mobility - Business

$

1,197

$

576

$

$

$

1,773

Mobility - Consumer

20,624

2,284

22,908

Total Mobility

21,821

2,860

24,681

Fixed - Business

16,634

2,696

19,330

Fixed - Consumer

42,114

3,674

45,788

Total Fixed

58,748

6,370

65,118

Carrier Services

1,883

18,736

20,619

Other

 

218

218

Total Communication Services Revenue

 

82,670

27,966

110,636

Construction

12,306

12,306

Other

Renewable Energy

418

418

Managed Services

1,150

1,150

Total Other Revenue

1,150

418

1,568

Total Revenue

83,820

40,272

418

124,510

Depreciation

 

13,429

5,193

188

1,301

 

20,111

Amortization of intangibles from acquisitions

397

397

Non-cash stock-based compensation

 

37

15

22

1,262

 

1,336

Operating income (loss)

 

13,116

(534)

(662)

(8,571)

 

3,349

(1)Corporate and Other items refer to corporate overhead costs and consolidating adjustments
Schedule of segment balance sheet data and capital expenditures

Selected balance sheet data for each of the Company’s segments as of March 31, 2022 and December 31, 2021 consists of the following (in thousands):

    

    

    

    

    

    

International

US

Renewable

Corporate and

Telecom

Telecom

Energy

Other (1)

Consolidated

March 31, 2022

Cash, cash equivalents, and short term investments

$

40,101

$

29,285

$

705

$

5,957

$

76,048

Total current assets

105,551

108,779

3,653

2,858

220,841

Fixed assets, net

448,064

476,491

9,320

933,875

Goodwill

 

4,835

 

35,269

 

 

40,104

Total assets

 

623,497

 

868,338

 

17,053

 

81,819

1,590,707

Total current liabilities

80,857

87,434

356

16,079

184,726

Total debt

63,342

259,159

71,500

394,001

December 31, 2021

Cash, cash equivalents, and short term investments

$

43,128

$

28,486

$

659

$

7,628

$

79,901

Total current assets

108,677

111,741

3,585

8,614

232,617

Fixed assets, net

452,856

480,250

10,103

943,209

Goodwill

 

4,835

 

35,269

 

 

40,104

Total assets

 

630,515

 

877,041

 

17,481

 

83,567

1,608,604

Total current liabilities

91,090

108,950

356

20,548

220,944

Total debt

64,243

240,802

61,499

366,544

Capital Expenditures

    

    

    

    

International

US

Corporate and

Three months ended March 31, 

Telecom

Telecom

Other (1)

Consolidated

2022

$

15,170

$

19,095

$

203

$

34,468

2021

10,506

14,939

235

25,680

(1)Corporate and other items refer to corporate overhead costs and consolidating adjustments