depreciation and amortization | | | | | | | | | | | |
change in working capital | | | -132.07K - | 146.81K 211.17% | 153.19K 4.35% | 442.69K 188.97% | 2.47M 457.79% | 371K 84.98% | 297.23K 19.88% | 97.20K 67.30% | |
net cash provided by operating activities | -1.36K - | -462 65.93% | -451.06K 97,530.95% | -359.30K 20.34% | -159.65K 55.56% | -309.74K 94.01% | -879.62K 183.99% | -269.55K 69.36% | -482.28K 78.92% | -304.94K 36.77% | |
investments in property plant and equipment | | | | | | | | | | | |
sales maturities of investments | | | | | | | 107.88M - | 94.31K 99.91% | 86.14K 8.66% | | |
other investing activites | | | | | | | | | | | |
net cash used for investing activites | | | | | | | 107.82M - | 94.31K 99.91% | 86.14K 8.66% | 356.99K 314.43% | |
other financing activites | -21.76K - | 5K 122.97% | -483.32K 9,766.48% | | | 350K - | 1.09M 212.29% | 344.28K 68.50% | 792.28K 130.13% | | |
net cash used provided by financing activities | 3.24K - | 5K 54.46% | 117.36M 2,347,033.52% | | | 175K - | -107.05M 61,270.96% | 172.14K 100.16% | 396.14K 130.13% | 485.40K 22.53% | |
effect of forex changes on cash | | | | | | | | | | -1 - | |
cash at beginning of period | | 1.88K - | 6.42K 241.25% | 762.04K 11,771.63% | 402.74K 47.15% | 243.09K 39.64% | 108.35K 55.43% | 3.12K 97.12% | 19 99.39% | 19 0% | |