2022 | Graph | |
---|---|---|
Operating CashFlow |
-437.26K - |
|
Investing CashFlow |
-70.03M - |
|
Financing CashFlow |
70.45M - |
|
Beginning Cash Position |
65.79K - |
|
Effect of FX Change | - | |
Changes in Cash |
-20.87K - |
|
End Cash Position |
44.92K - |
|
Free Cash Flow |
-437.26K - |