depreciation and amortization | 794K - | 860K 8.31% | 1.01M 17.21% | 1.33M 31.94% | 1.20M 9.85% | 1.22M 1.83% | |
change in working capital | -9.70M - | 25.10M 358.68% | -2.50M 109.95% | 7.42M 397.20% | 287K 96.13% | 5.28M 1,741.11% | |
net cash provided by operating activities | -35.32M - | -9.64M 72.69% | -36.33M 276.71% | -62.21M 71.23% | -90.42M 45.34% | -104.02M 15.04% | |
investments in property plant and equipment | -988K - | -1.51M 52.73% | -590K 60.90% | -924K 56.61% | -268K 71.00% | -98K 63.43% | |
sales maturities of investments | | | | | | | |
other investing activites | | 5K - | 19K 280% | | | | |
net cash used for investing activites | -988K - | -1.51M 52.73% | -590K 60.90% | -924K 56.61% | -265K 71.32% | -98K 63.02% | |
other financing activites | 5.02M - | 8.00M 59.29% | 75.03M 838.44% | -1.48M 101.98% | -758K 48.85% | -259K 65.83% | |
net cash used provided by financing activities | 5.02M - | 4.00M 20.40% | 271.82M 6,704.13% | 69.51M 74.43% | 61.21M 11.94% | 77K 99.87% | |
effect of forex changes on cash | | | | | | | |
cash at beginning of period | 42.15M - | 10.86M 74.23% | 3.70M 65.90% | 238.60M 6,341.82% | 244.98M 2.67% | 215.51M 12.03% | |