depreciation and amortization | | | | | | | | | | | | | | |
change in working capital | 24.37K - | | -456.61K - | -45.45K 90.05% | 116.82K 357.05% | 313.93K 168.74% | 102.60K 67.32% | -194.31K 289.38% | 55.05K 128.33% | 1.66M 2,924.35% | 122.00K 92.67% | -1.14M 1,033.21% | 93.57K 108.22% | |
net cash provided by operating activities | -5K - | | -579.90K - | -230.91K 60.18% | -78.25K 66.11% | 853.84K 1,191.15% | -187.46K 121.96% | -361.54K 92.86% | -160.31K 55.66% | -291.51K 81.84% | -122.90K 57.84% | -1.37M 1,011.16% | -146.86K 89.25% | |
investments in property plant and equipment | | | | | | | | | | | | | | |
sales maturities of investments | | | | | | | | | | | | | | |
other investing activites | | | -414M - | | | | | | | 407.42M - | 386.83K 99.91% | 830.82K 114.78% | 5.00M 501.75% | |
net cash used for investing activites | | | -414M - | | | | | | | 407.42M - | 386.83K 99.91% | 830.82K 114.78% | 5.00M 501.75% | |
other financing activites | 5K - | | 7.70M - | | | -8.02M - | | | 225K - | -406.58M 180,802.56% | | 215K - | 163K 24.19% | |
net cash used provided by financing activities | 30K - | | 415.33M - | -5.56K 100.00% | | -976.74K - | | 220K - | 220K 0% | -407.02M 185,108.10% | -125.69K 99.97% | 219.18K 274.39% | -4.82M 2,301.35% | |
effect of forex changes on cash | | | | | | | | | | | | 3.06M - | | |
cash at beginning of period | | 25K - | 25K 0% | 773.92K 2,995.67% | 537.44K 30.56% | 459.19K 14.56% | 336.29K 26.76% | 148.83K 55.74% | 7.29K 95.10% | 66.98K 818.69% | 180.11K 168.89% | 318.35K 76.76% | 2.76K 99.13% | |