2021 | 2022 | 2023 | Graph | |
---|---|---|---|---|
Operating CashFlow |
57.71M - |
-182.21M - |
116.53M - |
|
Investing CashFlow |
-14.46M - |
-54.49M - |
-15.46M - |
|
Financing CashFlow |
37.55M - |
987.72M 2530.1% |
876.73M -11.2% |
|
Beginning Cash Position |
133.96M - |
214.76M 60.3% |
965.78M 349.7% |
|
Effect of FX Change | - | - | - | |
Changes in Cash |
80.8M - |
751.02M 829.5% |
977.8M 30.2% |
|
End Cash Position |
214.76M - |
965.78M 349.7% |
1.94B 101.2% |
|
Free Cash Flow |
43.54M - |
-221.72M - |
101.07M - |