{"ticker":"NVA","downloaded_at":"2026-08-20","balance_sheet":{"2025-12-31":{"Ordinary Shares Number":455131303.0,"Share Issued":455131303.0,"Net Debt":null,"Total Debt":6092146.0,"Tangible Book Value":147670533.0,"Invested Capital":153762679.0,"Working Capital":47348596.0,"Net Tangible Assets":147670533.0,"Common Stock Equity":147670533.0,"Total Capitalization":152594884.0,"Total Equity Gross Minority Interest":155148450.0,"Minority Interest":7477917.0,"Stockholders Equity":147670533.0,"Other Equity Interest":17007228.0,"Gains Losses Not Affecting Retained Earnings":3370122.0,"Foreign Currency Translation Adjustments":3370122.0,"Retained Earnings":-88495259.0,"Capital Stock":215788442.0,"Common Stock":215788442.0,"Total Liabilities Net Minority Interest":30547359.0,"Total Non Current Liabilities Net Minority Interest":12528747.0,"Non Current Deferred Liabilities":7604396.0,"Non Current Deferred Revenue":7604396.0,"Long Term Debt And Capital Lease Obligation":4924351.0,"Long Term Debt":4924351.0,"Current Liabilities":18018612.0,"Current Deferred Liabilities":9618113.0,"Current Deferred Revenue":9618113.0,"Current Debt And Capital Lease Obligation":1167795.0,"Current Debt":1167795.0,"Other Current Borrowings":null,"Payables And Accrued Expenses":7232704.0,"Payables":7232704.0,"Accounts Payable":7232704.0,"Total Assets":185695809.0,"Total Non Current Assets":120328601.0,"Investments And Advances":3511281.0,"Investmentin Financial Assets":3511281.0,"Financial Assets Designatedas Fair Value Through Profitor Loss Total":3511281.0,"Long Term Equity Investment":null,"Investmentsin Associatesat Cost":null,"Net PPE":116817320.0,"Accumulated Depreciation":null,"Gross PPE":null,"Other Properties":null,"Current Assets":65367208.0,"Restricted Cash":null,"Prepaid Assets":null,"Receivables":6191121.0,"Other Receivables":null,"Taxes Receivable":null,"Accounts Receivable":6191121.0,"Cash Cash Equivalents And Short Term Investments":59176087.0,"Cash And Cash Equivalents":59176087.0,"Cash Financial":59176087.0},"2025-06-30":{"Ordinary Shares Number":322997417.0,"Share Issued":322997417.0,"Net Debt":null,"Total Debt":null,"Tangible Book Value":102162911.0,"Invested Capital":102162911.0,"Working Capital":6688541.0,"Net Tangible Assets":102162911.0,"Common Stock Equity":102162911.0,"Total Capitalization":102162911.0,"Total Equity Gross Minority Interest":109855856.0,"Minority Interest":7692945.0,"Stockholders Equity":102162911.0,"Other Equity Interest":7981298.0,"Gains Losses Not Affecting Retained Earnings":4429103.0,"Foreign Currency Translation Adjustments":4429103.0,"Retained Earnings":-77283769.0,"Capital Stock":167036279.0,"Common Stock":167036279.0,"Total Liabilities Net Minority Interest":2686276.0,"Total Non Current Liabilities Net Minority Interest":0.0,"Non Current Deferred Liabilities":null,"Non Current Deferred Revenue":null,"Long Term Debt And Capital Lease Obligation":null,"Long Term Debt":null,"Current Liabilities":2686276.0,"Current Deferred Liabilities":null,"Current Deferred Revenue":null,"Current Debt And Capital Lease Obligation":null,"Current Debt":null,"Other Current Borrowings":null,"Payables And Accrued Expenses":2686276.0,"Payables":2686276.0,"Accounts Payable":2686276.0,"Total Assets":112542132.0,"Total Non Current Assets":103167315.0,"Investments And Advances":786890.0,"Investmentin Financial Assets":786890.0,"Financial Assets Designatedas Fair Value Through Profitor Loss Total":786890.0,"Long Term Equity Investment":0.0,"Investmentsin Associatesat Cost":0.0,"Net PPE":102380425.0,"Accumulated Depreciation":-2294825.0,"Gross PPE":104675250.0,"Other Properties":104675250.0,"Current Assets":9374817.0,"Restricted Cash":null,"Prepaid Assets":247846.0,"Receivables":43656.0,"Other Receivables":null,"Taxes Receivable":43656.0,"Accounts Receivable":null,"Cash Cash Equivalents And Short Term Investments":9083315.0,"Cash And Cash Equivalents":9083315.0,"Cash Financial":9083315.0},"2024-12-31":{"Ordinary Shares Number":278943573.0,"Share Issued":278943573.0,"Net Debt":8575641.0,"Total Debt":12661247.0,"Tangible Book Value":98898346.0,"Invested Capital":111559593.0,"Working Capital":7110743.0,"Net Tangible Assets":98898346.0,"Common Stock Equity":98898346.0,"Total Capitalization":104707079.0,"Total Equity Gross Minority Interest":107043511.0,"Minority Interest":8145165.0,"Stockholders Equity":98898346.0,"Other Equity Interest":7981298.0,"Gains Losses Not Affecting Retained Earnings":6675482.0,"Foreign Currency Translation Adjustments":6675482.0,"Retained Earnings":-68190899.0,"Capital Stock":152432465.0,"Common Stock":152432465.0,"Total Liabilities Net Minority Interest":13396769.0,"Total Non Current Liabilities Net Minority Interest":5808733.0,"Non Current Deferred Liabilities":null,"Non Current Deferred Revenue":null,"Long Term Debt And Capital Lease Obligation":5808733.0,"Long Term Debt":5808733.0,"Current Liabilities":7588036.0,"Current Deferred Liabilities":null,"Current Deferred Revenue":null,"Current Debt And Capital Lease Obligation":6852514.0,"Current Debt":6852514.0,"Other Current Borrowings":6852514.0,"Payables And Accrued Expenses":735522.0,"Payables":735522.0,"Accounts Payable":735522.0,"Total Assets":120440280.0,"Total Non Current Assets":105741501.0,"Investments And Advances":1876848.0,"Investmentin Financial Assets":1876848.0,"Financial Assets Designatedas Fair Value Through Profitor Loss Total":1876848.0,"Long Term Equity Investment":0.0,"Investmentsin Associatesat Cost":0.0,"Net PPE":103864653.0,"Accumulated Depreciation":-2135021.0,"Gross PPE":105999674.0,"Other Properties":105999674.0,"Current Assets":14698779.0,"Restricted Cash":10502017.0,"Prepaid Assets":81077.0,"Receivables":30079.0,"Other Receivables":10502017.0,"Taxes Receivable":30079.0,"Accounts Receivable":null,"Cash Cash Equivalents And Short Term Investments":4085606.0,"Cash And Cash Equivalents":4085606.0,"Cash Financial":null}},"income_stmt":{},"cashflow":{"2026-03-31":{"Free Cash Flow":-10698000.0,"Repayment Of Debt":-1121000.0,"Issuance Of Capital Stock":0.0,"Capital Expenditure":-9057000.0,"End Cash Position":47018000.0,"Beginning Cash Position":59176000.0,"Effect Of Exchange Rate Changes":-1432000.0,"Changes In Cash":-10726000.0,"Financing Cash Flow":-1114000.0,"Cash Flow From Continuing Financing Activities":-1114000.0,"Net Other Financing Charges":-1000.0,"Proceeds From Stock Option Exercised":8000.0,"Net Common Stock Issuance":0.0,"Common Stock Issuance":0.0,"Net Issuance Payments Of Debt":-1121000.0,"Net Long Term Debt Issuance":-1121000.0,"Long Term Debt Payments":-1121000.0,"Investing Cash Flow":-7971000.0,"Cash Flow From Continuing Investing Activities":-7971000.0,"Net Other Investing Changes":1021000.0,"Net Investment Purchase And Sale":65000.0,"Sale Of Investment":65000.0,"Purchase Of Investment":0.0,"Net PPE Purchase And Sale":-9057000.0,"Sale Of PPE":null,"Purchase Of PPE":-9057000.0,"Cash Flowsfromusedin Operating Activities Direct":-1641000.0,"Taxes Refund Paid Direct":66000.0,"Interest Received Direct":424000.0,"Interest Paid Direct":-1000.0,"Classesof Cash Payments":-2130000.0,"Other Cash Paymentsfrom Operating Activities":-1428000.0,"Paymentson Behalfof Employees":-702000.0,"Classesof Cash Receiptsfrom Operating Activities":66000.0},"2025-12-31":{"Free Cash Flow":-12235330.0,"Repayment Of Debt":-42000.0,"Issuance Of Capital Stock":33598005.0,"Capital Expenditure":-9528448.0,"End Cash Position":59176087.0,"Beginning Cash Position":17529000.0,"Effect Of Exchange Rate Changes":-724378.0,"Changes In Cash":42374150.0,"Financing Cash Flow":34846128.0,"Cash Flow From Continuing Financing Activities":34846128.0,"Net Other Financing Charges":-2254797.0,"Proceeds From Stock Option Exercised":3502920.0,"Net Common Stock Issuance":33598005.0,"Common Stock Issuance":33598005.0,"Net Issuance Payments Of Debt":-42000.0,"Net Long Term Debt Issuance":-42000.0,"Long Term Debt Payments":-42000.0,"Investing Cash Flow":10234904.0,"Cash Flow From Continuing Investing Activities":10234904.0,"Net Other Investing Changes":12239000.0,"Net Investment Purchase And Sale":229885.0,"Sale Of Investment":null,"Purchase Of Investment":0.0,"Net PPE Purchase And Sale":-9528448.0,"Sale Of PPE":230000.0,"Purchase Of PPE":-9528448.0,"Cash Flowsfromusedin Operating Activities Direct":-2706882.0,"Taxes Refund Paid Direct":123000.0,"Interest Received Direct":170194.0,"Interest Paid Direct":-9773.0,"Classesof Cash Payments":-2867303.0,"Other Cash Paymentsfrom Operating Activities":-3184303.0,"Paymentson Behalfof Employees":-391000.0,"Classesof Cash Receiptsfrom Operating Activities":123000.0},"2025-06-30":{"Free Cash Flow":-3573732.0,"Repayment Of Debt":null,"Issuance Of Capital Stock":91.0,"Capital Expenditure":-1489353.0,"End Cash Position":9083315.0,"Beginning Cash Position":13076000.0,"Effect Of Exchange Rate Changes":-464044.0,"Changes In Cash":-3528550.0,"Financing Cash Flow":45856.0,"Cash Flow From Continuing Financing Activities":45856.0,"Net Other Financing Charges":-10517.0,"Proceeds From Stock Option Exercised":56282.0,"Net Common Stock Issuance":91.0,"Common Stock Issuance":91.0,"Net Issuance Payments Of Debt":null,"Net Long Term Debt Issuance":null,"Long Term Debt Payments":null,"Investing Cash Flow":-1490027.0,"Cash Flow From Continuing Investing Activities":-1490027.0,"Net Other Investing Changes":-450.0,"Net Investment Purchase And Sale":17.0,"Sale Of Investment":17.0,"Purchase Of Investment":null,"Net PPE Purchase And Sale":-1489594.0,"Sale Of PPE":-241.0,"Purchase Of PPE":-1489353.0,"Cash Flowsfromusedin Operating Activities Direct":-2084379.0,"Taxes Refund Paid Direct":null,"Interest Received Direct":103111.0,"Interest Paid Direct":-902.0,"Classesof Cash Payments":-2112588.0,"Other Cash Paymentsfrom Operating Activities":null,"Paymentson Behalfof Employees":null,"Classesof Cash Receiptsfrom Operating Activities":null},"2025-03-31":{"Free Cash Flow":-2013000.0,"Repayment Of Debt":null,"Issuance Of Capital Stock":0.0,"Capital Expenditure":-783000.0,"End Cash Position":13076000.0,"Beginning Cash Position":4086000.0,"Effect Of Exchange Rate Changes":-131000.0,"Changes In Cash":9121000.0,"Financing Cash Flow":1363000.0,"Cash Flow From Continuing Financing Activities":1363000.0,"Net Other Financing Charges":-118000.0,"Proceeds From Stock Option Exercised":1481000.0,"Net Common Stock Issuance":0.0,"Common Stock Issuance":0.0,"Net Issuance Payments Of Debt":null,"Net Long Term Debt Issuance":null,"Long Term Debt Payments":null,"Investing Cash Flow":8988000.0,"Cash Flow From Continuing Investing Activities":8988000.0,"Net Other Investing Changes":-797000.0,"Net Investment Purchase And Sale":10502000.0,"Sale Of Investment":10502000.0,"Purchase Of Investment":null,"Net PPE Purchase And Sale":-717000.0,"Sale Of PPE":66000.0,"Purchase Of PPE":-783000.0,"Cash Flowsfromusedin Operating Activities Direct":-1230000.0,"Taxes Refund Paid Direct":55000.0,"Interest Received Direct":51000.0,"Interest Paid Direct":0.0,"Classesof Cash Payments":-1336000.0,"Other Cash Paymentsfrom Operating Activities":-996000.0,"Paymentson Behalfof Employees":-340000.0,"Classesof Cash Receiptsfrom Operating Activities":55000.0},"2024-12-31":{"Free Cash Flow":-5515059.0,"Repayment Of Debt":null,"Issuance Of Capital Stock":-37.0,"Capital Expenditure":null,"End Cash Position":4085606.0,"Beginning Cash Position":6123000.0,"Effect Of Exchange Rate Changes":520864.0,"Changes In Cash":-2558167.0,"Financing Cash Flow":1374892.0,"Cash Flow From Continuing Financing Activities":1374892.0,"Net Other Financing Charges":60465.0,"Proceeds From Stock Option Exercised":null,"Net Common Stock Issuance":-37.0,"Common Stock Issuance":-37.0,"Net Issuance Payments Of Debt":null,"Net Long Term Debt Issuance":null,"Long Term Debt Payments":null,"Investing Cash Flow":-1893525.0,"Cash Flow From Continuing Investing Activities":-1893525.0,"Net Other Investing Changes":null,"Net Investment Purchase And Sale":null,"Sale Of Investment":null,"Purchase Of Investment":null,"Net PPE Purchase And Sale":null,"Sale Of PPE":null,"Purchase Of PPE":null,"Cash Flowsfromusedin Operating Activities Direct":-2039534.0,"Taxes Refund Paid Direct":null,"Interest Received Direct":1404.0,"Interest Paid Direct":-160930.0,"Classesof Cash Payments":-1880008.0,"Other Cash Paymentsfrom Operating Activities":-3986008.0,"Paymentson Behalfof Employees":null,"Classesof Cash Receiptsfrom Operating Activities":null}}}