depreciation and amortization | | -29.97M - | 274M 1,014.16% | -151M 155.11% | 323M 313.91% | -1.53B 575.23% | 35M 102.28% | 30M 14.29% | 39M 30% | |
change in working capital | | 40.29M - | -456M 1,231.68% | -669M 46.71% | 223M 133.33% | -34M 115.25% | -16M 52.94% | -2M 87.50% | -22M 1,000% | |
net cash provided by operating activities | | 127.63M - | -194M 252.00% | 141M 172.68% | 825M 485.11% | 603M 26.91% | 55M 90.88% | 73M 32.73% | 75M 2.74% | |
investments in property plant and equipment | | -22.72M - | -156M 586.48% | -302M 93.59% | -148M 50.99% | -432M 191.89% | -25M 94.21% | -17M 32% | -22M 29.41% | |
sales maturities of investments | | 918.29K - | | | 11M - | | | | | |
other investing activites | | -5.89M - | -60M 919.09% | -14M 76.67% | -49M 250% | -81M 65.31% | -4M 95.06% | -4M 0% | 1M 125% | |
net cash used for investing activites | | -27.69M - | -216M 679.95% | -291M 34.72% | -40M 86.25% | -242M 505% | -21M 91.32% | -1M 95.24% | -22M 2,100% | |
other financing activites | | 15.82M - | | | -152M - | 893M 687.50% | | -1M - | -11M 1,000% | |
net cash used provided by financing activities | | -4.81M - | 207M 4,406.09% | 209M 0.97% | -550M 363.16% | -537M 2.36% | -36M 93.30% | -61M 69.44% | 30M 149.18% | |
effect of forex changes on cash | | -7.17M - | 170M 2,472.41% | 56M 67.06% | -36M 164.29% | -83M 130.56% | -7M 91.57% | -4M 42.86% | 3M 175% | |
cash at beginning of period | | 187.16M - | 2.83B 1,409.42% | 2.79B 1.13% | 2.91B 4.15% | 3.11B 6.88% | 280M 90.99% | 270M 3.57% | 277M 2.59% | |