{"ticker":"IMMP","downloaded_at":"2026-08-20","balance_sheet":{"2025-12-31":{"Ordinary Shares Number":1473721306.0,"Share Issued":1473721306.0,"Total Debt":1209606.0,"Tangible Book Value":92943938.0,"Invested Capital":98898788.0,"Working Capital":92775035.0,"Net Tangible Assets":92943938.0,"Capital Lease Obligations":1209606.0,"Common Stock Equity":98898788.0,"Total Capitalization":98898788.0,"Total Equity Gross Minority Interest":98898788.0,"Stockholders Equity":98898788.0,"Gains Losses Not Affecting Retained Earnings":37598164.0,"Retained Earnings":-486351557.0,"Capital Stock":547652181.0,"Common Stock":547652181.0,"Total Liabilities Net Minority Interest":48303108.0,"Total Non Current Liabilities Net Minority Interest":1291006.0,"Employee Benefits":313013.0,"Non Current Deferred Liabilities":0.0,"Non Current Deferred Taxes Liabilities":0.0,"Long Term Debt And Capital Lease Obligation":949602.0,"Long Term Capital Lease Obligation":949602.0,"Long Term Provisions":28391.0,"Current Liabilities":47012102.0,"Other Current Liabilities":503101.0,"Current Deferred Liabilities":25827536.0,"Current Deferred Revenue":25827536.0,"Current Debt And Capital Lease Obligation":260004.0,"Current Capital Lease Obligation":260004.0,"Other Current Borrowings":null,"Pensionand Other Post Retirement Benefit Plans Current":744030.0,"Payables And Accrued Expenses":19677431.0,"Current Accrued Expenses":10251239.0,"Payables":9426192.0,"Other Payable":397159.0,"Accounts Payable":9029033.0,"Total Assets":147201896.0,"Total Non Current Assets":7414759.0,"Other Non Current Assets":141765.0,"Goodwill And Other Intangible Assets":5954850.0,"Other Intangible Assets":5844888.0,"Goodwill":109962.0,"Net PPE":1318144.0,"Accumulated Depreciation":-765022.0,"Gross PPE":2083166.0,"Machinery Furniture Equipment":897805.0,"Buildings And Improvements":1185361.0,"Properties":0.0,"Current Assets":139787137.0,"Hedging Assets Current":0.0,"Prepaid Assets":3137272.0,"Receivables":37520366.0,"Other Receivables":6472838.0,"Taxes Receivable":1139632.0,"Accounts Receivable":29907896.0,"Cash Cash Equivalents And Short Term Investments":99129499.0,"Other Short Term Investments":26381641.0,"Cash And Cash Equivalents":72747858.0,"Cash Equivalents":29649828.0,"Cash Financial":43098030.0},"2024-12-31":{"Ordinary Shares Number":null,"Share Issued":1455589575.0,"Total Debt":null,"Tangible Book Value":164695436.0,"Invested Capital":173504818.0,"Working Capital":164552068.0,"Net Tangible Assets":164695436.0,"Capital Lease Obligations":null,"Common Stock Equity":172472206.0,"Total Capitalization":null,"Total Equity Gross Minority Interest":null,"Stockholders Equity":172472206.0,"Gains Losses Not Affecting Retained Earnings":34437462.0,"Retained Earnings":null,"Capital Stock":null,"Common Stock":null,"Total Liabilities Net Minority Interest":9856310.0,"Total Non Current Liabilities Net Minority Interest":null,"Employee Benefits":245147.0,"Non Current Deferred Liabilities":0.0,"Non Current Deferred Taxes Liabilities":null,"Long Term Debt And Capital Lease Obligation":391045.0,"Long Term Capital Lease Obligation":391045.0,"Long Term Provisions":null,"Current Liabilities":null,"Other Current Liabilities":null,"Current Deferred Liabilities":null,"Current Deferred Revenue":null,"Current Debt And Capital Lease Obligation":null,"Current Capital Lease Obligation":null,"Other Current Borrowings":1032612.0,"Pensionand Other Post Retirement Benefit Plans Current":607728.0,"Payables And Accrued Expenses":null,"Current Accrued Expenses":null,"Payables":null,"Other Payable":743845.0,"Accounts Payable":3982851.0,"Total Assets":182328516.0,"Total Non Current Assets":8564455.0,"Other Non Current Assets":null,"Goodwill And Other Intangible Assets":null,"Other Intangible Assets":null,"Goodwill":109962.0,"Net PPE":null,"Accumulated Depreciation":-706791.0,"Gross PPE":1385823.0,"Machinery Furniture Equipment":759874.0,"Buildings And Improvements":null,"Properties":null,"Current Assets":173764061.0,"Hedging Assets Current":null,"Prepaid Assets":6578013.0,"Receivables":null,"Other Receivables":null,"Taxes Receivable":1299166.0,"Accounts Receivable":1546.0,"Cash Cash Equivalents And Short Term Investments":null,"Other Short Term Investments":null,"Cash And Cash Equivalents":null,"Cash Equivalents":null,"Cash Financial":31657407.0}},"income_stmt":{},"cashflow":{"2026-03-31":{"Free Cash Flow":13505000.0,"Repayment Of Debt":0.0,"Issuance Of Debt":0.0,"Issuance Of Capital Stock":0.0,"Capital Expenditure":-5000.0,"End Cash Position":84277000.0,"Beginning Cash Position":72747000.0,"Effect Of Exchange Rate Changes":null,"Changes In Cash":11530000.0,"Financing Cash Flow":-37000.0,"Cash Flow From Continuing Financing Activities":-37000.0,"Net Other Financing Charges":-37000.0,"Proceeds From Stock Option Exercised":0.0,"Cash Dividends Paid":0.0,"Common Stock Dividend Paid":0.0,"Net Common Stock Issuance":0.0,"Common Stock Issuance":0.0,"Net Issuance Payments Of Debt":0.0,"Net Long Term Debt Issuance":0.0,"Long Term Debt Payments":0.0,"Long Term Debt Issuance":0.0,"Investing Cash Flow":20000.0,"Cash Flow From Continuing Investing Activities":20000.0,"Net Other Investing Changes":25000.0,"Dividends Received Cfi":0.0,"Net Investment Purchase And Sale":0.0,"Sale Of Investment":0.0,"Purchase Of Investment":0.0,"Net Business Purchase And Sale":0.0,"Sale Of Business":0.0,"Purchase Of Business":0.0,"Net Intangibles Purchase And Sale":0.0,"Sale Of Intangibles":0.0,"Purchase Of Intangibles":0.0,"Net PPE Purchase And Sale":-5000.0,"Sale Of PPE":0.0,"Purchase Of PPE":-5000.0,"Cash Flowsfromusedin Operating Activities Direct":13510000.0,"Taxes Refund Paid Direct":0.0,"Interest Received Direct":352000.0,"Interest Paid Direct":-7000.0,"Dividends Received Direct":0.0,"Classesof Cash Payments":-15683000.0,"Other Cash Paymentsfrom Operating Activities":-1291000.0,"Paymentson Behalfof Employees":-2627000.0,"Paymentsto Suppliersfor Goodsand Services":-11765000.0,"Classesof Cash Receiptsfrom Operating Activities":28848000.0,"Receiptsfrom Government Grants":0.0,"Receiptsfrom Customers":28848000.0},"2025-12-31":{"Free Cash Flow":-9700203.0,"Repayment Of Debt":-112554.0,"Issuance Of Debt":0.0,"Issuance Of Capital Stock":0.0,"Capital Expenditure":-87657.0,"End Cash Position":72747858.0,"Beginning Cash Position":83413000.0,"Effect Of Exchange Rate Changes":-872476.0,"Changes In Cash":-9792881.0,"Financing Cash Flow":-40554.0,"Cash Flow From Continuing Financing Activities":-40554.0,"Net Other Financing Charges":-44000.0,"Proceeds From Stock Option Exercised":0.0,"Cash Dividends Paid":0.0,"Common Stock Dividend Paid":null,"Net Common Stock Issuance":0.0,"Common Stock Issuance":0.0,"Net Issuance Payments Of Debt":-112554.0,"Net Long Term Debt Issuance":-112554.0,"Long Term Debt Payments":-112554.0,"Long Term Debt Issuance":0.0,"Investing Cash Flow":-139781.0,"Cash Flow From Continuing Investing Activities":-139781.0,"Net Other Investing Changes":-55000.0,"Dividends Received Cfi":0.0,"Net Investment Purchase And Sale":-52124.0,"Sale Of Investment":-52124.0,"Purchase Of Investment":0.0,"Net Business Purchase And Sale":0.0,"Sale Of Business":0.0,"Purchase Of Business":0.0,"Net Intangibles Purchase And Sale":0.0,"Sale Of Intangibles":0.0,"Purchase Of Intangibles":0.0,"Net PPE Purchase And Sale":-87657.0,"Sale Of PPE":0.0,"Purchase Of PPE":-87657.0,"Cash Flowsfromusedin Operating Activities Direct":-9612546.0,"Taxes Refund Paid Direct":0.0,"Interest Received Direct":369570.0,"Interest Paid Direct":-6976.0,"Dividends Received Direct":0.0,"Classesof Cash Payments":-14562255.0,"Other Cash Paymentsfrom Operating Activities":-1878000.0,"Paymentson Behalfof Employees":-2608000.0,"Paymentsto Suppliersfor Goodsand Services":-19083255.0,"Classesof Cash Receiptsfrom Operating Activities":4587115.0,"Receiptsfrom Government Grants":4582654.0,"Receiptsfrom Customers":4000.0},"2025-03-31":{"Free Cash Flow":-16262000.0,"Repayment Of Debt":null,"Issuance Of Debt":0.0,"Issuance Of Capital Stock":null,"Capital Expenditure":-50085.0,"End Cash Position":92451000.0,"Beginning Cash Position":null,"Effect Of Exchange Rate Changes":null,"Changes In Cash":null,"Financing Cash Flow":null,"Cash Flow From Continuing Financing Activities":null,"Net Other Financing Charges":null,"Proceeds From Stock Option Exercised":null,"Cash Dividends Paid":null,"Common Stock Dividend Paid":0.0,"Net Common Stock Issuance":0.0,"Common Stock Issuance":0.0,"Net Issuance Payments Of Debt":0.0,"Net Long Term Debt Issuance":null,"Long Term Debt Payments":null,"Long Term Debt Issuance":null,"Investing Cash Flow":null,"Cash Flow From Continuing Investing Activities":null,"Net Other Investing Changes":null,"Dividends Received Cfi":null,"Net Investment Purchase And Sale":null,"Sale Of Investment":null,"Purchase Of Investment":null,"Net Business Purchase And Sale":null,"Sale Of Business":0.0,"Purchase Of Business":0.0,"Net Intangibles Purchase And Sale":null,"Sale Of Intangibles":0.0,"Purchase Of Intangibles":0.0,"Net PPE Purchase And Sale":null,"Sale Of PPE":null,"Purchase Of PPE":null,"Cash Flowsfromusedin Operating Activities Direct":null,"Taxes Refund Paid Direct":null,"Interest Received Direct":null,"Interest Paid Direct":null,"Dividends Received Direct":null,"Classesof Cash Payments":-17076000.0,"Other Cash Paymentsfrom Operating Activities":-984000.0,"Paymentson Behalfof Employees":null,"Paymentsto Suppliersfor Goodsand Services":null,"Classesof Cash Receiptsfrom Operating Activities":null,"Receiptsfrom Government Grants":0.0,"Receiptsfrom Customers":null},"2024-12-31":{"Free Cash Flow":-20189179.0,"Repayment Of Debt":null,"Issuance Of Debt":null,"Issuance Of Capital Stock":null,"Capital Expenditure":-235915.0,"End Cash Position":null,"Beginning Cash Position":null,"Effect Of Exchange Rate Changes":null,"Changes In Cash":null,"Financing Cash Flow":null,"Cash Flow From Continuing Financing Activities":null,"Net Other Financing Charges":null,"Proceeds From Stock Option Exercised":0.0,"Cash Dividends Paid":null,"Common Stock Dividend Paid":null,"Net Common Stock Issuance":null,"Common Stock Issuance":null,"Net Issuance Payments Of Debt":-118222.0,"Net Long Term Debt Issuance":-118222.0,"Long Term Debt Payments":-118222.0,"Long Term Debt Issuance":null,"Investing Cash Flow":-30406234.0,"Cash Flow From Continuing Investing Activities":null,"Net Other Investing Changes":null,"Dividends Received Cfi":null,"Net Investment Purchase And Sale":null,"Sale Of Investment":null,"Purchase Of Investment":null,"Net Business Purchase And Sale":0.0,"Sale Of Business":0.0,"Purchase Of Business":null,"Net Intangibles Purchase And Sale":null,"Sale Of Intangibles":0.0,"Purchase Of Intangibles":null,"Net PPE Purchase And Sale":null,"Sale Of PPE":null,"Purchase Of PPE":null,"Cash Flowsfromusedin Operating Activities Direct":null,"Taxes Refund Paid Direct":0.0,"Interest Received Direct":null,"Interest Paid Direct":null,"Dividends Received Direct":null,"Classesof Cash Payments":null,"Other Cash Paymentsfrom Operating Activities":-1076000.0,"Paymentson Behalfof Employees":-2464000.0,"Paymentsto Suppliersfor Goodsand Services":null,"Classesof Cash Receiptsfrom Operating Activities":74043.0,"Receiptsfrom Government Grants":66405.0,"Receiptsfrom Customers":null}}}