depreciation and amortization | | 43K - | 568K 1,220.93% | 2.22M 291.55% | 4.65M 109.22% | |
change in working capital | 492K - | 164K 66.67% | 31.18M 18,909.76% | -35.40M 213.55% | 2.65M 107.48% | |
net cash provided by operating activities | -1.33M - | -5.54M 315.59% | -34.08M 514.75% | -131.83M 286.79% | -165.41M 25.48% | |
investments in property plant and equipment | | -639K - | -4.15M 549.45% | -16.09M 287.83% | -8.72M 45.80% | |
sales maturities of investments | | | 13M - | 93M 615.38% | 132.56M 42.53% | |
other investing activites | | -423K - | -496K 17.26% | -665K 34.07% | -170K 74.44% | |
net cash used for investing activites | | -1.06M - | -73.63M 6,832.77% | -47.10M 36.03% | 18.71M 139.73% | |
other financing activites | 29.94K - | -20K 166.79% | -1.09M 5,330% | -3.82M 252.03% | | |
net cash used provided by financing activities | 9.98M - | 34.93M 250.01% | 269.28M 670.82% | 181.49M 32.60% | 655K 99.64% | |
effect of forex changes on cash | | | | | | |
cash at beginning of period | | 8.65M - | 36.98M 327.60% | 198.54M 436.97% | 201.12M 1.29% | |