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GlycoMimetics Inc

GLYC

0.157USD

-0.009-5.42%
Market hours ETQuotes delayed by 15 min
10.13MMarket Cap
LossP/E TTM
Quarterly
Quarterly+Annual
Quarterly
Annual
YOY
Hide blank rows
FY2025Q1
FY2024Q4
FY2024Q3
FY2024Q2
FY2024Q1
FY2023Q4
FY2023Q3
FY2023Q2
FY2023Q1
FY2022Q4
FY2022Q3
FY2022Q2
FY2022Q1
FY2021Q4
FY2021Q3
FY2021Q2
FY2021Q1
FY2020Q4
FY2020Q3
FY2020Q2
FY2020Q1
FY2019Q4
FY2019Q3
FY2019Q2
FY2019Q1
FY2018Q4
FY2018Q3
FY2018Q2
FY2018Q1
FY2017Q4
FY2017Q3
FY2017Q2
FY2017Q1
FY2016Q4
FY2016Q3
FY2016Q2
FY2016Q1
FY2015Q4
FY2015Q3
FY2015Q2
FY2015Q1
FY2014Q4
FY2014Q3
FY2014Q2
FY2014Q1
FY2013Q4
FY2013Q3
FY2013Q2
FY2013Q1
Operating cash flows (indirect method)
Cash flow from continuing operating activities
51.41%-5.11M
51.39%-3.70M
7.93%-7.99M
-27.51%-8.89M
9.46%-10.51M
3.75%-7.61M
-0.77%-8.68M
57.03%-6.97M
15.27%-11.61M
38.22%-7.91M
49.15%-8.62M
-19.24%-16.23M
3.02%-13.70M
-32.22%-12.81M
-47.31%-16.95M
6.46%-13.61M
-303.56%-14.13M
24.29%-9.69M
14.46%-11.50M
-27.71%-14.55M
75.60%-3.50M
-28.18%-12.79M
-33.36%-13.45M
12.74%-11.39M
-40.54%-14.35M
-19.25%-9.98M
-61.87%-10.08M
-113.79%-13.06M
-12.66%-10.21M
-40.54%-8.37M
16.62%-6.23M
13.67%-6.11M
1.82%-9.06M
14.41%-5.95M
-155.09%-7.47M
-15.17%-7.07M
-6.03%-9.23M
-13.05%-6.96M
385.34%13.56M
-166.68%-6.14M
-236.49%-8.71M
-10.58%-6.15M
-40.25%-4.75M
440.28%9.21M
33.26%-2.59M
---5.57M
---3.39M
---2.71M
---3.88M
Net income from continuing operations
78.17%-2.34M
20.44%-7.22M
-6.76%-9.82M
-22.24%-10.10M
-3.64%-10.74M
11.38%-9.08M
-7.96%-9.20M
37.75%-8.26M
29.30%-10.36M
41.20%-10.24M
50.82%-8.52M
7.86%-13.27M
-2.66%-14.65M
-11.95%-17.42M
-26.31%-17.33M
-2.27%-14.40M
-86.28%-14.27M
-5.68%-15.56M
-3.55%-13.72M
11.06%-14.08M
45.59%-7.66M
-5.89%-14.73M
-14.49%-13.25M
-40.35%-15.83M
-22.33%-14.08M
-50.22%-13.91M
-45.60%-11.58M
-38.53%-11.28M
-45.16%-11.51M
-11.16%-9.26M
-1.21%-7.95M
-0.87%-8.14M
-4.98%-7.93M
6.23%-8.33M
-9.58%-7.85M
-177.69%-8.07M
-6.27%-7.55M
-20.12%-8.88M
-8.32%-7.17M
30.00%10.39M
-39.34%-7.11M
-91.19%-7.39M
-78.81%-6.62M
328.53%7.99M
-1209.85%-5.10M
---3.87M
---3.70M
---3.50M
--459.69K
Operating gains losses
-100.00%0.00
-100.00%0.00
773.30%373.31K
-71.39%12.42K
-66.65%14.62K
-49.04%23.30K
-9.72%42.75K
-20.73%43.42K
-26.08%43.84K
-25.83%45.72K
-29.74%47.35K
-18.84%54.77K
-12.90%59.31K
-9.82%61.64K
1.29%67.38K
-0.29%67.48K
-0.15%68.09K
0.75%68.36K
-4.63%66.53K
-4.93%67.68K
-3.19%68.19K
-0.71%67.84K
1.87%69.76K
2.34%71.19K
2.45%70.44K
-1.78%68.33K
-2.26%68.48K
-0.02%69.56K
26.53%68.76K
36.96%69.56K
52.94%70.06K
48.96%69.58K
15.04%54.34K
3.51%50.79K
-11.71%45.81K
0.90%46.71K
6.76%47.23K
10.39%49.07K
27.20%51.88K
19.14%46.29K
27.80%44.24K
25.45%44.45K
22.48%40.79K
19.99%38.85K
8.39%34.62K
--35.43K
--33.30K
--32.38K
--31.94K
Other non-cash items
-100.00%0.00
-100.00%0.00
-74.02%59.03K
-4.06%213.42K
-6.18%205.57K
4.51%223.48K
8.87%227.19K
9.22%222.45K
10.21%219.12K
10.19%213.85K
10.16%208.68K
10.13%203.66K
10.09%198.81K
10.06%194.08K
10.08%189.44K
9.98%184.94K
9.94%180.59K
9.89%176.34K
9.78%172.09K
9.79%168.15K
9.74%164.26K
--160.47K
--156.76K
--153.16K
--149.69K
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--0.00
Change in working capital
-167.44%-3.17M
697.44%2.39M
128.64%182.84K
-244.37%-231.14K
50.25%-1.18M
-74.46%299.87K
49.46%-638.45K
103.82%160.10K
-520.18%-2.38M
-61.37%1.17M
13.57%-1.26M
-307.97%-4.19M
77.63%-383.87K
-24.10%3.04M
-604.50%-1.46M
58.44%-1.03M
-181.42%-1.72M
19245.25%4.00M
114.41%289.72K
-191.79%-2.47M
212.94%2.11M
-100.77%-20.92K
-900.37%-2.01M
189.73%2.69M
-1662.68%-1.87M
1967.10%2.71M
-63.48%251.21K
-408.22%-3.00M
105.89%119.43K
-109.08%-145.08K
270.87%687.82K
446.01%973.12K
17.23%-2.03M
29.82%1.60M
-102.01%-402.53K
101.05%178.22K
-9.96%-2.45M
72.71%1.23M
1350.59%20.04M
-2332.69%-17.04M
-201.82%-2.23M
139.70%712.29K
955.76%1.38M
17.87%763.08K
148.88%2.19M
---1.79M
--130.85K
--647.42K
---4.48M
-Change in receivables
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--20.00M
---20.00M
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-Change in prepaid expenses
-101.59%-6.72K
1740.77%935.20K
180.28%217.30K
-6.07%706.75K
276.36%423.44K
-62.95%50.80K
-229.25%-270.68K
1147.25%752.43K
77.65%-240.10K
-91.82%137.13K
127.98%209.43K
67.73%-71.85K
-1264085.88%-1.07M
9.20%1.68M
-201.07%-748.52K
84.70%-222.62K
-100.00%85.00
468.56%1.53M
146.05%740.61K
-375.86%-1.45M
503.57%2.27M
-202.04%-416.34K
-283.12%-1.61M
134.77%527.35K
-208.06%-561.90K
123.67%408.03K
271.02%878.33K
-878.23%-1.52M
16.54%-182.40K
-326.48%-1.72M
-451.05%-513.59K
125.46%194.91K
9.52%-218.56K
175.38%761.21K
179.78%146.30K
-416.09%-765.65K
-273.57%-241.56K
126.97%276.42K
-162.40%-183.38K
248.89%242.23K
-92.49%139.17K
8.85%-1.02M
126.96%293.89K
-189.07%-162.69K
3277.82%1.85M
---1.12M
---1.09M
--182.66K
--54.89K
-Change in other current assets
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--0.00
--0.00
----
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--0.00
--0.00
---52.32K
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-Change in other current liabilities
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-348.37%-98.61K
-917.36%-183.07K
-919.74%-176.66K
-887.50%-171.08K
-37.22%-21.99K
-48.42%-18.00K
-51.02%-17.32K
-786.68%-17.32K
84.08%-16.03K
-128.90%-12.12K
-101.82%-11.47K
-61.16%2.52K
-276.28%-100.69K
-65.06%41.95K
42630.88%630.73K
122.36%6.50K
305.86%57.12K
571.22%120.04K
94.12%-1.48K
-14.02%-29.05K
72.72%-27.75K
65.80%-25.48K
67.22%-25.24K
99.33%-25.48K
---101.70K
---74.50K
---77.00K
---3.83M
Cash from non-recurring investing activities
Cash from operating activities
51.41%-5.11M
51.39%-3.70M
7.93%-7.99M
-27.51%-8.89M
9.46%-10.51M
3.75%-7.61M
-0.77%-8.68M
57.03%-6.97M
15.27%-11.61M
38.22%-7.91M
49.15%-8.62M
-19.24%-16.23M
3.02%-13.70M
-32.22%-12.81M
-47.31%-16.95M
6.46%-13.61M
-303.56%-14.13M
24.29%-9.69M
14.46%-11.50M
-27.71%-14.55M
75.60%-3.50M
-28.18%-12.79M
-33.36%-13.45M
12.74%-11.39M
-40.54%-14.35M
-19.25%-9.98M
-61.87%-10.08M
-113.79%-13.06M
-12.66%-10.21M
-40.54%-8.37M
16.62%-6.23M
13.67%-6.11M
1.82%-9.06M
14.41%-5.95M
-155.09%-7.47M
-15.17%-7.07M
-6.03%-9.23M
-13.05%-6.96M
385.34%13.56M
-166.68%-6.14M
-236.49%-8.71M
-10.58%-6.15M
-40.25%-4.75M
440.28%9.21M
33.26%-2.59M
---5.57M
---3.39M
---2.71M
---3.88M
Investing cash flow
Net cash from continuing investing activities
-100.00%0.00
-3845.32%-30.00K
-100.00%0.00
-75.94%2.53K
238.60%7.44K
80000.00%801.00
216.79%7.87K
-74.43%10.53K
-94.58%2.20K
-99.96%1.00
-42.71%2.48K
707.25%41.19K
1224.22%40.52K
-93.59%2.45K
-72.59%4.33K
-20.07%5.10K
-62.39%3.06K
208.93%38.17K
-13.43%15.81K
-91.46%6.38K
-79.42%8.14K
-78.32%12.36K
-31.23%18.27K
193.94%74.77K
137.92%39.54K
66.45%57.00K
-18.74%26.56K
-84.51%25.44K
-73.61%16.62K
-92.19%34.25K
-85.50%32.69K
614.55%164.20K
264.61%62.97K
13490.55%438.57K
285.99%225.38K
-88.77%22.98K
638.35%17.27K
-78.29%3.23K
-42.75%58.39K
150.11%204.64K
-83.20%2.34K
19.59%14.87K
160.41%102.00K
245.69%81.82K
103.99%13.92K
--12.43K
--39.17K
--23.67K
--6.82K
Capital expenditures
-100.00%0.00
-100.00%0.00
-100.00%0.00
-75.94%2.53K
238.60%7.44K
80000.00%801.00
216.79%7.87K
-74.43%10.53K
-94.58%2.20K
-99.96%1.00
-42.71%2.48K
707.25%41.19K
1224.22%40.52K
-93.59%2.45K
-72.59%4.33K
-20.07%5.10K
-62.39%3.06K
208.93%38.17K
-13.43%15.81K
-91.46%6.38K
-79.42%8.14K
-78.32%12.36K
-31.23%18.27K
193.94%74.77K
137.92%39.54K
66.45%57.00K
-18.74%26.56K
-84.51%25.44K
-73.61%16.62K
-92.19%34.25K
-85.50%32.69K
614.55%164.20K
264.61%62.97K
13490.55%438.57K
285.99%225.38K
-88.77%22.98K
638.35%17.27K
-78.29%3.23K
-42.75%58.39K
150.11%204.64K
-83.20%2.34K
19.59%14.87K
160.41%102.00K
245.69%81.82K
103.99%13.92K
--12.43K
--39.17K
--23.67K
--6.82K
Net cash flow from disposal of fixed assets
-100.00%0.00
-3845.32%-30.00K
-100.00%0.00
-75.94%2.53K
238.60%7.44K
80000.00%801.00
216.79%7.87K
-74.43%10.53K
-94.58%2.20K
-99.96%1.00
-42.71%2.48K
707.25%41.19K
1224.22%40.52K
-93.59%2.45K
-72.59%4.33K
-20.07%5.10K
-62.39%3.06K
208.93%38.17K
-13.43%15.81K
-91.46%6.38K
-79.42%8.14K
-78.32%12.36K
-31.23%18.27K
193.94%74.77K
137.92%39.54K
66.45%57.00K
-18.74%26.56K
-84.51%25.44K
-73.61%16.62K
-92.19%34.25K
-85.50%32.69K
614.55%164.20K
264.61%62.97K
13490.55%438.57K
285.99%225.38K
-88.77%22.98K
638.35%17.27K
-78.29%3.23K
-42.75%58.39K
150.11%204.64K
-83.20%2.34K
19.59%14.87K
160.41%102.00K
245.69%81.82K
103.99%13.92K
--12.43K
--39.17K
--23.67K
--6.82K
Net cash flow from other investing activities
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--0.00
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--0.00
Cash from non-current investing activities
Net cash flow from investing activities
100.00%0.00
3845.32%30.00K
100.00%0.00
75.94%-2.53K
-238.60%-7.44K
-80000.00%-801.00
-216.79%-7.87K
74.43%-10.53K
94.58%-2.20K
99.96%-1.00
42.71%-2.48K
-707.25%-41.19K
-1224.22%-40.52K
93.59%-2.45K
72.59%-4.33K
20.07%-5.10K
62.39%-3.06K
-208.93%-38.17K
13.43%-15.81K
91.46%-6.38K
79.42%-8.14K
78.32%-12.36K
31.23%-18.27K
-193.94%-74.77K
-137.92%-39.54K
-66.45%-57.00K
18.74%-26.56K
84.51%-25.44K
73.61%-16.62K
92.19%-34.25K
85.50%-32.69K
-614.55%-164.20K
-264.61%-62.97K
-13490.55%-438.57K
-285.99%-225.38K
88.77%-22.98K
-638.35%-17.27K
78.29%-3.23K
42.75%-58.39K
-150.11%-204.64K
83.20%-2.34K
-19.59%-14.87K
-160.41%-102.00K
-245.69%-81.82K
-103.99%-13.92K
---12.43K
---39.17K
---23.67K
---6.82K
Financing cash flow
Cash flow from continuous financing activities
-100.00%0.00
-100.00%0.00
-100.00%0.00
-97.51%500.00
-99.98%4.90K
-99.98%999.00
--61.62K
--20.11K
--28.74M
264.81%4.16M
-100.00%0.00
--0.00
-100.00%0.00
-70.70%1.14M
-99.54%20.79K
-100.00%0.00
7258.46%9.56M
3145.55%3.89M
2333.70%4.55M
12543.69%9.58M
325.38%129.97K
-4.88%119.82K
-63.00%186.77K
166.51%75.77K
-99.98%30.55K
-99.35%125.97K
4034.63%504.77K
-100.13%-113.92K
3409.79%128.93M
1588.43%19.46M
87.81%-12.83K
325.37%90.83M
188.23%3.67M
33552.89%1.15M
-622.08%-105.25K
140751.02%21.35M
1590.85%1.27M
-44.45%3.42K
4654.72%20.16K
-87.32%15.16K
-99.87%75.38K
-96.90%6.16K
-99.88%424.00
505.21%119.53K
--57.26M
--199.07K
--340.11K
--19.75K
--0.00
Net cash flow from debt Issuance/repayment
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--0.00
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--0.00
Net cash flow from common stock issuance/repurchase
----
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----
-100.00%0.00
-100.00%0.00
--0.00
--0.00
--28.71M
264.81%4.16M
--0.00
--0.00
-100.00%0.00
-69.24%1.14M
-100.00%0.00
-100.00%0.00
--9.56M
--3.71M
--4.55M
--9.57M
----
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--0.00
100.00%0.00
-100.00%0.00
-100.00%0.00
100.00%0.00
-100.23%-208.92K
3406.88%128.63M
1581.19%19.30M
-0.38%-136.29K
324.98%90.74M
196.14%3.67M
--1.15M
---135.78K
--21.35M
--1.24M
--0.00
--0.00
100.00%0.00
-100.00%0.00
-100.00%0.00
--0.00
---8.17K
--57.26M
--558.93K
--0.00
--0.00
--0.00
Net cash flow from preferred stock issuance/repurchase
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--0.00
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--0.00
Proceeds from stock option exercised by employees
-100.00%0.00
-100.00%0.00
-100.00%0.00
-97.51%500.00
-85.50%4.90K
--999.00
--61.62K
--20.11K
--33.77K
--0.00
-100.00%0.00
--0.00
-100.00%0.00
-100.00%0.00
--20.79K
-100.00%0.00
-96.74%4.24K
53.32%183.71K
-100.00%0.00
-92.59%5.61K
325.38%129.97K
-4.88%119.82K
-63.00%186.77K
-20.24%75.77K
-89.77%30.55K
-17.32%125.97K
308.84%504.77K
3.16%95.00K
5354.34%298.79K
3611.30%152.35K
304.47%123.47K
4344.21%92.08K
-84.74%5.48K
19.89%4.11K
51.41%30.52K
-86.33%2.07K
-52.38%35.89K
-44.45%3.42K
4654.72%20.16K
-88.13%15.16K
--75.38K
--6.16K
-99.88%424.00
546.60%127.70K
----
----
--340.11K
--19.75K
----
Net cash flow from other financing activities
----
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----
----
----
----
----
----
----
----
----
----
----
----
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---359.86K
----
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Net cash from non-recurrent financing activities
Net cash from financing activities
-100.00%0.00
-100.00%0.00
-100.00%0.00
-97.51%500.00
-99.98%4.90K
-99.98%999.00
--61.62K
--20.11K
--28.74M
264.81%4.16M
-100.00%0.00
--0.00
-100.00%0.00
-70.70%1.14M
-99.54%20.79K
-100.00%0.00
7258.46%9.56M
3145.55%3.89M
2333.70%4.55M
12543.69%9.58M
325.38%129.97K
-4.88%119.82K
-63.00%186.77K
166.51%75.77K
-99.98%30.55K
-99.35%125.97K
4034.63%504.77K
-100.13%-113.92K
3409.79%128.93M
1588.43%19.46M
87.81%-12.83K
325.37%90.83M
188.23%3.67M
33552.89%1.15M
-622.08%-105.25K
140751.02%21.35M
1590.85%1.27M
-44.45%3.42K
4654.72%20.16K
-87.32%15.16K
-99.87%75.38K
-96.90%6.16K
-99.88%424.00
505.21%119.53K
--57.26M
--199.07K
--340.11K
--19.75K
--0.00
Net cash flow
Beginning cash balance
-74.35%10.72M
-70.87%14.39M
-61.43%22.39M
-51.88%31.28M
-12.70%41.79M
-4.29%49.41M
-3.66%58.04M
-15.05%65.00M
-46.96%47.87M
-49.35%51.62M
-49.31%60.24M
-42.24%76.52M
-34.14%90.25M
-28.66%101.92M
-20.68%118.85M
-14.44%132.47M
-13.38%137.04M
-16.39%142.87M
-18.64%149.84M
-20.83%154.82M
-24.64%158.20M
-22.26%170.89M
-19.73%184.17M
-19.40%195.56M
69.39%209.92M
94.76%219.83M
92.56%229.43M
601.44%242.63M
209.49%123.92M
149.26%112.87M
124.45%119.15M
-10.92%34.59M
-14.45%40.04M
-15.77%45.28M
31.94%53.09M
-16.61%38.83M
-15.21%46.80M
-12.39%53.76M
-39.24%40.23M
-18.25%46.57M
2288.94%55.20M
697.99%61.36M
514.38%66.22M
322.30%56.97M
-86.70%2.31M
--7.69M
--10.78M
--13.49M
--17.37M
Current period cash flow changes
51.42%-5.11M
51.78%-3.67M
7.36%-7.99M
-27.71%-8.90M
-161.36%-10.51M
-102.84%-7.61M
-0.11%-8.63M
57.19%-6.97M
224.70%17.13M
67.83%-3.75M
49.09%-8.62M
-19.50%-16.27M
-201.00%-13.74M
-99.98%-11.67M
-142.75%-16.93M
-173.50%-13.62M
-35.11%-4.56M
54.00%-5.84M
47.48%-6.97M
56.30%-4.98M
76.47%-3.38M
-27.99%-12.69M
-38.25%-13.28M
13.67%-11.39M
-112.09%-14.36M
-189.67%-9.91M
-53.08%-9.61M
-115.61%-13.20M
2277.69%118.71M
310.88%11.05M
19.57%-6.28M
493.17%84.56M
31.63%-5.45M
24.67%-5.24M
-157.69%-7.80M
325.10%14.26M
7.64%-7.97M
-12.88%-6.96M
378.58%13.53M
-168.45%-6.33M
-115.79%-8.63M
-14.58%-6.16M
-57.21%-4.86M
441.18%9.25M
1507.44%54.66M
---5.38M
---3.09M
---2.71M
---3.88M
Ending cash balance
-82.05%5.61M
-74.35%10.72M
-70.87%14.39M
-61.43%22.39M
-51.88%31.28M
-12.70%41.79M
-4.29%49.41M
-3.66%58.04M
-15.05%65.00M
-46.96%47.87M
-49.35%51.62M
-49.31%60.24M
-42.24%76.52M
-34.14%90.25M
-28.66%101.92M
-20.68%118.85M
-14.44%132.47M
-13.38%137.04M
-16.39%142.87M
-18.64%149.84M
-20.83%154.82M
-24.64%158.20M
-22.26%170.89M
-19.73%184.17M
-19.40%195.56M
69.39%209.92M
94.76%219.83M
92.56%229.43M
601.44%242.63M
209.49%123.92M
149.26%112.87M
124.45%119.15M
-10.92%34.59M
-14.45%40.04M
-15.77%45.28M
31.94%53.09M
-16.61%38.83M
-15.21%46.80M
-12.39%53.76M
-39.24%40.23M
-18.25%46.57M
2288.94%55.20M
697.99%61.36M
514.38%66.22M
322.30%56.97M
--2.31M
--7.69M
--10.78M
--13.49M
Free cash flow
51.45%-5.11M
51.40%-3.70M
8.02%-7.99M
-27.35%-8.90M
9.41%-10.52M
3.74%-7.62M
-0.83%-8.69M
57.07%-6.99M
15.50%-11.61M
38.23%-7.91M
49.15%-8.62M
-19.50%-16.27M
2.76%-13.74M
-31.72%-12.81M
-47.14%-16.95M
6.47%-13.62M
-302.71%-14.13M
24.06%-9.72M
14.46%-11.52M
-26.93%-14.56M
75.62%-3.51M
-27.58%-12.81M
-33.19%-13.47M
12.34%-11.47M
-40.70%-14.39M
-19.44%-10.04M
-61.45%-10.11M
-108.59%-13.08M
-12.06%-10.23M
-31.44%-8.40M
18.64%-6.26M
11.63%-6.27M
1.32%-9.12M
8.15%-6.39M
-156.99%-7.70M
-11.82%-7.10M
-6.20%-9.25M
-12.83%-6.96M
378.15%13.51M
-169.52%-6.35M
-234.78%-8.71M
-10.60%-6.17M
-41.62%-4.86M
434.34%9.13M
33.02%-2.60M
---5.58M
---3.43M
---2.73M
---3.88M
Currency unit
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KeyAI