depreciation and amortization | | | | | | 132.79K - | 130.92K 1.41% | |
change in working capital | 10.82K - | 9.52K 11.98% | -44.40K 566.28% | 734.45K 1,754.25% | -427.73K 158.24% | -249.96K 41.56% | -364.42K 45.79% | |
net cash provided by operating activities | -4.50K - | 852.38 118.92% | -152.17K 17,952.03% | -1.68M 1,001.57% | -13.69M 716.63% | -11.10M 18.94% | -10.32M 7.03% | |
investments in property plant and equipment | | | | | | | | |
sales maturities of investments | | | | | | | | |
other investing activites | | | | 104.20K - | -861.25K 926.54% | -15.44M 1,693.19% | -12.22M 20.88% | |
net cash used for investing activites | | | | -500K - | -35.40M 6,979.13% | -17.20M 51.41% | -15.26M 11.31% | |
other financing activites | -3.02K - | | -136.91K - | 72.88M 53,330.34% | | | | |
net cash used provided by financing activities | -3.02K - | | 379.29K - | 111.14M 29,202.85% | 35.13M 68.39% | 37.75K 99.89% | -184.91K 589.78% | |
effect of forex changes on cash | | | | -835.16K - | -1.19M 42.62% | -10.76M 803.02% | | |
cash at beginning of period | 7.52K - | | 0.00 - | 250.28K 859,969,275,769,651,072% | 108.38M 43,203.13% | 134.33M 23.94% | 95.31M 29.04% | |
cash at end of period | 0.00 - | 852.38 93,719,798,294,417,104% | 227.12K 26,545.62% | 108.38M 47,619.41% | 93.24M 13.97% | 95.31M 2.23% | 67.80M 28.87% | |