depreciation and amortization | 87K - | 7.97M 9,064.37% | 14.93M 87.31% | 25.35M 69.75% | 13.93M 45.04% | |
change in working capital | | 10.77M - | -24.07M 323.59% | 2.91M 112.09% | -18.02M 719.49% | |
net cash provided by operating activities | -48.50M - | -30.94M 36.20% | -134.30M 334.07% | -117.60M 12.44% | -60.70M 48.39% | |
investments in property plant and equipment | -9.18M - | -20.57M 124.04% | -15.69M 23.73% | -30.54M 94.70% | | |
sales maturities of investments | | 1.99M - | 1.99M 0% | 165.18M 8,208.60% | 185.76M 12.47% | |
other investing activites | -31.77M - | -20.57M 35.25% | 8K 100.04% | -30.54M 381,887.50% | -10.06M 67.05% | |
net cash used for investing activites | -40.95M - | -7.93M 80.64% | 16.92M 313.36% | -171.96M 1,116.50% | 65.97M 138.36% | |
other financing activites | | 37.49M - | 29.86M 20.35% | | | |
net cash used provided by financing activities | | 37.49M - | 256.83M 585.11% | -2.58M 101.01% | -2.63M 1.93% | |
effect of forex changes on cash | | 191K - | -59K 130.89% | -850K 1,340.68% | 436K 151.29% | |
cash at beginning of period | 182.58M - | 93.13M 48.99% | 91.94M 1.28% | 408.42M 344.20% | 115.42M 71.74% | |