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Hut 8 Corp

HUT

21.560USD

-0.560-2.53%
Close 07/15, 16:00ETQuotes delayed by 15 min
2.25BMarket Cap
LossP/E TTM
Quarterly
Quarterly+Annual
Quarterly
Annual
YOY
Hide blank rows
FY2025Q1
FY2024Q4
FY2024Q3
FY2024Q2
FY2024Q1
FY2023Q4
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
FY2012Q2
FY2012Q1
Operating cash flows (indirect method)
Cash flow from continuing operating activities
-28.49%-33.85M
0.81%-21.64M
---4.20M
-870.35%-16.35M
-248.21%-26.34M
-33.68%-21.82M
92.68%-1.68M
67.85%-7.57M
26.90%-16.32M
-21.36%-21.99M
-53.55%-23.03M
-124.80%-23.53M
-1784.22%-22.32M
-4849.73%-18.12M
-2035.71%-15.00M
-857.73%-10.47M
-69.27%1.33M
-108.59%-366.11K
-126.37%-702.31K
-295.27%-1.09M
23.72%4.31M
35.95%4.26M
118.93%2.66M
-111.37%-276.51K
69957.84%3.49M
46973.97%3.13M
-79808.39%-14.07M
89788.84%2.43M
35.89%-4.99K
69.71%-6.69K
-290.63%-17.60K
83.20%-2.71K
33.45%-7.78K
-38.84%-22.08K
93.38%-4.51K
-141.64%-16.14K
-26.89%-11.70K
-42.33%-15.90K
-268.51%-68.04K
58.37%-6.68K
29.99%-9.22K
55.21%-11.17K
50.60%-18.46K
---16.04K
---13.17K
---24.94K
---37.37K
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Net income from continuing operations
-153.54%-134.32M
1336.25%151.98M
--908.00K
-481.48%-72.36M
212.65%250.88M
107.70%10.58M
81.97%-12.44M
82.45%80.24M
-55.88%-137.49M
-198.18%-18.23M
-1999.71%-69.02M
191.06%43.98M
-520.59%-88.20M
2848.00%18.57M
-260.47%-3.29M
298.18%15.11M
216.59%20.97M
48.82%-675.65K
-89.77%2.05M
-67.21%-7.62M
79.60%-17.99M
84.93%-1.32M
623.58%20.03M
-51.06%-4.56M
-159358.83%-88.19M
-102899.64%-8.76M
-56464.02%-3.83M
-34673.75%-3.02M
-64.53%-55.31K
-136.53%-8.51K
68.90%-6.76K
59.68%-8.68K
3.83%-33.61K
65.21%-3.60K
-58.01%-21.74K
-119.15%-21.53K
51.47%-34.95K
31.31%-10.34K
4.86%-13.76K
91.12%-9.82K
-172.29%-72.03K
---15.05K
---14.46K
---110.67K
---26.45K
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Operating gains losses
29.87%14.90M
206.16%18.78M
--10.46M
60.17%11.53M
40.56%11.47M
-94.17%6.13M
-56.77%7.20M
-44.40%8.16M
1324.02%105.24M
377.25%19.68M
587.23%16.65M
220.38%14.68M
202.42%7.39M
55.02%4.12M
-51.71%2.42M
-12.29%4.58M
-150.49%-7.22M
-25.79%2.66M
-42.27%5.02M
46.84%5.22M
-81.74%14.29M
-73.15%3.59M
90.14%8.69M
-20.27%3.56M
--78.26M
--13.35M
--4.57M
--4.46M
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Deferred tax
-999.78%-20.44M
19708.98%109.22M
--490.00K
---226.00K
--2.27M
---557.00K
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Other non-cash items
164.44%10.66M
32.90%-14.50M
---18.13M
-43.55%-16.34M
-54.04%-16.54M
-66.76%-21.61M
62.91%-11.38M
72.00%-10.74M
69.65%-12.96M
45.96%-20.25M
-21.11%-30.69M
-68.43%-38.35M
-14196.60%-42.70M
-4963.76%-37.47M
-7599.60%-25.34M
-1628.75%-22.77M
-102.73%-298.68K
163.54%770.47K
96.85%-329.13K
134.78%1.49M
400.89%10.94M
91.04%-1.21M
-73.22%-10.44M
44.96%-4.28M
--2.18M
---13.53M
---6.03M
---7.78M
----
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-100.00%0.00
----
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----
--20.33K
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---24.94K
---37.37K
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Change in working capital
28.87%-7.33M
23.59%4.62M
---5.84M
-192.26%-2.88M
-288.78%-10.30M
106.14%3.73M
-18.70%3.12M
292.94%5.46M
706.33%1.81M
-144.51%-1.36M
1509.87%3.84M
-286.61%-2.83M
83.54%-298.82K
-152.16%-556.04K
-64.77%238.41K
61.49%1.52M
78.29%-1.82M
119.76%1.07M
376.11%676.71K
-76.91%938.44K
-677.39%-8.36M
-149.46%-5.40M
97.78%-245.09K
-25.42%4.06M
2777.63%1.45M
599529.49%10.91M
-101647.07%-11.03M
91189.48%5.45M
94.80%50.32K
109.84%1.82K
-162.89%-10.84K
10.65%5.97K
782.43%25.83K
-232.20%-18.48K
131.76%17.24K
71.43%5.39K
-95.34%2.93K
-243.42%-5.56K
-1257.05%-54.28K
-96.67%3.15K
372.77%62.81K
--3.88K
---4.00K
--94.63K
--13.28K
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-Change in receivables
297.18%2.87M
137.41%306.00K
---605.00K
-106.68%-40.00K
-53.98%-1.45M
-899.00%-818.00K
14.00%598.63K
32.85%-943.63K
--102.38K
21.34%811.59K
295.93%525.12K
-173.77%-1.41M
----
--668.83K
--132.63K
---513.31K
----
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--0.00
--0.00
--0.00
100.00%0.00
----
-100.00%0.00
100.00%0.00
-233.36%-3.24K
310.78%3.28K
843.41%39.55K
7.46%-560.10
45.93%-971.13
-117.72%-1.55K
737.39%4.19K
26.30%-605.23
-54.83%-1.80K
203.42%8.77K
-112.62%-657.78
48.69%-821.21
30.10%-1.16K
-214.48%-8.48K
324.31%5.21K
-10.23%-1.60K
---1.66K
--7.41K
---2.32K
---1.45K
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-Change in prepaid expenses
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117.13%275.00K
344.88%2.50M
9.91%280.28K
---1.61M
-172.05%-1.18M
112.24%561.17K
--255.00K
----
--1.63M
---4.59M
--0.00
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173570.72%4.25M
---811.21K
---3.23M
----
152.37%2.45K
--0.00
--0.00
100.00%0.00
--969.92
--0.00
--0.00
---956.08
----
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100.00%0.00
----
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--1.64K
---1.66K
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-Change in payables and accrued expense
15.56%-8.54M
177.48%10.92M
---8.50M
-2663.66%-649.00K
-265.27%-10.11M
18.67%3.93M
-99.08%25.32K
464.77%6.12M
--3.32M
65.15%-995.51K
-41.35%2.75M
-182.69%-1.68M
----
---2.86M
616.66%4.69M
116.18%2.03M
----
----
-270.52%-908.08K
-76.91%938.44K
-198.22%-8.36M
-146.03%-5.40M
96.86%-245.09K
-24.88%4.06M
-5609.97%-2.80M
420024.38%11.72M
-83975.30%-7.81M
304415.57%5.41M
99.79%50.88K
116.72%2.79K
-209.68%-9.28K
-74.65%1.78K
579.37%25.46K
-278.93%-16.68K
118.48%8.47K
439.17%7.01K
-94.18%3.75K
-179.50%-4.40K
-251.06%-45.80K
-102.10%-2.07K
337.05%64.41K
--5.54K
---13.05K
--98.60K
--14.74K
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-Change in other current assets
-35.86%1.24M
---4.12M
---940.00K
--1.44M
--1.94M
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-Change in other current liabilities
23.55%-1.64M
-161.74%-1.17M
--5.08M
---589.00K
---2.14M
--1.90M
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Cash from non-recurring investing activities
Cash from operating activities
-28.49%-33.85M
0.81%-21.64M
---4.20M
-870.35%-16.35M
-248.21%-26.34M
-33.68%-21.82M
92.68%-1.68M
67.85%-7.57M
26.90%-16.32M
-21.36%-21.99M
-53.55%-23.03M
-124.80%-23.53M
-1784.22%-22.32M
-4849.73%-18.12M
-2035.71%-15.00M
-857.73%-10.47M
-69.27%1.33M
-108.59%-366.11K
-126.37%-702.31K
-295.27%-1.09M
23.72%4.31M
35.95%4.26M
118.93%2.66M
-111.37%-276.51K
69957.84%3.49M
46973.97%3.13M
-79808.39%-14.07M
89788.84%2.43M
35.89%-4.99K
69.71%-6.69K
-290.63%-17.60K
83.20%-2.71K
33.45%-7.78K
-38.84%-22.08K
93.38%-4.51K
-141.64%-16.14K
-26.89%-11.70K
-42.33%-15.90K
-268.51%-68.04K
58.37%-6.68K
29.99%-9.22K
55.21%-11.17K
50.60%-18.46K
---16.04K
---13.17K
---24.94K
---37.37K
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Investing cash flow
Net cash from continuing investing activities
565.90%61.67M
14164.91%37.27M
--108.94M
41.13%3.56M
14632.83%9.26M
99.45%-265.00K
-94.25%2.52M
-99.83%62.86K
-216.47%-48.37M
45.73%27.58M
439.11%43.89M
18986.26%36.63M
2564.94%41.53M
567.26%18.93M
--8.14M
--191.90K
-77.73%1.56M
--2.84M
--0.00
--0.00
242.70%7.00M
-100.00%0.00
----
-100.00%0.00
--2.04M
--47.82M
--2.49M
--18.20M
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Capital expenditures
376.85%64.23M
11252.33%46.20M
--109.59M
41.13%3.56M
21328.70%13.47M
--407.00K
-94.25%2.52M
-99.83%62.86K
----
45.73%27.58M
439.11%43.89M
18986.26%36.63M
2564.94%41.53M
567.26%18.93M
--8.14M
--191.90K
-77.73%1.56M
--2.84M
--0.00
--0.00
242.70%7.00M
-100.00%0.00
----
-100.00%0.00
--2.04M
--47.82M
--2.49M
--18.20M
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Net cash flow from disposal of fixed assets
556.23%60.77M
14056.98%36.99M
--108.94M
41.13%3.56M
14632.83%9.26M
99.45%-265.00K
-94.25%2.52M
-99.83%62.86K
-216.47%-48.37M
45.73%27.58M
439.11%43.89M
18986.26%36.63M
2564.94%41.53M
567.26%18.93M
--8.14M
--191.90K
-77.73%1.56M
--2.84M
--0.00
--0.00
242.70%7.00M
-100.00%0.00
----
-100.00%0.00
--2.04M
--47.82M
--2.49M
--18.20M
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Net cash flow from intangible asset transactions
--896.00K
--286.00K
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Net cash flow from business transactions
----
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--23.03M
--0.00
100.00%0.00
--0.00
--0.00
--0.00
---23.82M
----
--0.00
--0.00
--0.00
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Net cash flow from investment products
-89.46%3.43M
-446.81%-90.50M
--13.25M
--15.23M
13657.98%32.59M
--26.09M
--0.00
---240.35K
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Net cash flow from other investing activities
----
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-96.11%831.68K
-100.69%-106.49K
-50.21%-58.07M
178.28%23.86M
164.18%21.40M
195.67%15.53M
-14786.79%-38.66M
-1794.92%-30.48M
-5186.73%-33.34M
-4873.90%-16.23M
-92.08%263.22K
56.16%-1.61M
6028.22%655.44K
-678.70%-326.34K
175.76%3.32M
-113.82%-3.67M
-99.79%10.70K
99.85%-41.91K
---4.39M
--26.54M
--5.00M
---27.29M
----
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--0.00
--0.00
--0.00
100.00%0.00
--0.00
--0.00
--0.00
---22.97K
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Cash from non-current investing activities
Net cash flow from investing activities
-349.67%-58.24M
-358.69%-127.77M
---95.69M
790.29%11.67M
5793.23%23.32M
609.48%49.39M
92.48%-1.69M
99.09%-409.70K
87.91%-9.69M
92.47%-3.72M
45.79%-22.49M
-173.51%-44.92M
-6090.96%-80.19M
-1011.55%-49.41M
-6428.77%-41.48M
-4932.70%-16.42M
64.74%-1.30M
-21.15%-4.45M
6028.22%655.44K
-678.70%-326.34K
42.86%-3.67M
82.76%-3.67M
-99.57%10.70K
99.91%-41.91K
---6.43M
---21.28M
--2.51M
---45.49M
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--0.00
--0.00
--0.00
100.00%0.00
--0.00
--0.00
--0.00
---22.97K
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Financing cash flow
Cash flow from continuous financing activities
888.69%115.52M
1774.06%162.33M
---3.25M
1369.37%167.51M
-422.17%-14.65M
-136.80%-9.70M
-62.22%11.40M
-113.51%-2.81M
-32.70%26.35M
-98.09%3.26M
-69.40%30.18M
-63.22%20.77M
8179.09%39.15M
3781349.89%170.91M
1671.87%98.60M
489302.66%56.47M
157.75%472.89K
99.84%-4.52K
1222.19%5.56M
---11.54K
-2370.08%-818.79K
-116.95%-2.76M
-159.75%-495.88K
-100.00%0.00
--36.07K
--16.29M
--829.86K
--43.39M
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--0.00
--0.00
-100.00%0.00
100.00%0.00
--0.00
--0.00
-8.20%268.95K
---54.65K
--292.97K
--0.00
Net cash flow from debt Issuance/repayment
99.19%-119.00K
88.57%-1.11M
---2.95M
1188.68%146.89M
-424.15%-14.75M
-127.72%-9.71M
370.48%11.40M
45.94%-2.81M
79.05%-4.26M
50.06%-2.45M
-170.74%-4.21M
74.84%-5.21M
-966030.68%-20.36M
-74487.86%-4.90M
-24680.13%-1.56M
-318.60%-20.69M
100.01%2.11K
99.76%-6.57K
98.73%-6.28K
---4.94M
---15.94M
---2.76M
---495.88K
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Net cash flow from common stock issuance/repurchase
--112.01M
8098000.00%161.96M
----
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----
-100.01%-2.00K
-100.00%0.00
-99.97%6.66K
1314.93%30.60M
-96.58%5.66M
-61.05%34.02M
-55.27%25.68M
726.27%2.16M
--165.33M
1468.83%87.34M
--57.41M
---345.28K
--0.00
--5.57M
--0.00
--0.00
100.00%0.00
-100.00%0.00
-100.00%0.00
--0.00
---827.52K
--829.86K
--43.39M
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--0.00
--0.00
-100.00%0.00
----
--0.00
----
0.36%302.63K
----
--301.54K
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Proceeds from stock option exercised by employees
-3.79%127.00K
9187.50%1.49M
--67.00K
--21.13M
--132.00K
--16.00K
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Proceeds from issuance of warrants
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-100.00%0.00
-100.00%0.00
-100.01%-736.53
-99.96%766.37
-99.84%8.62K
-99.99%2.37K
1814.88%12.30M
296631.37%2.00M
--5.39M
--19.51M
--642.40K
--675.40
--0.00
--0.00
--0.00
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--0.00
--1.37M
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Net cash flow from other financing activities
11766.67%3.50M
--0.00
---367.00K
-34348.01%-510.00K
-1452.22%-30.00K
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-99.59%1.49K
-99.23%2.22K
-99.96%18.41K
-99.39%51.35K
-95.10%363.66K
23.53%289.74K
25838.24%45.05M
616056.00%8.48M
200811.01%7.43M
-95.24%234.54K
-98.85%173.67K
--1.38K
--3.70K
--4.93M
41830.57%15.12M
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--0.00
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--36.07K
--15.75M
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--0.00
--0.00
100.00%0.00
100.00%0.00
--0.00
--0.00
-293.02%-33.68K
---54.65K
---8.57K
--0.00
Net cash from non-recurrent financing activities
Net cash from financing activities
888.69%115.52M
1774.06%162.33M
---3.25M
1369.37%167.51M
-422.17%-14.65M
-136.80%-9.70M
-62.22%11.40M
-113.51%-2.81M
-32.70%26.35M
-98.09%3.26M
-69.40%30.18M
-63.22%20.77M
8179.09%39.15M
3781349.89%170.91M
1671.87%98.60M
489302.66%56.47M
157.75%472.89K
99.84%-4.52K
1222.19%5.56M
---11.54K
-2370.08%-818.79K
-116.95%-2.76M
-159.75%-495.88K
-100.00%0.00
--36.07K
--16.29M
--829.86K
--43.39M
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--0.00
--0.00
-100.00%0.00
100.00%0.00
--0.00
--0.00
-8.20%268.95K
---54.65K
--292.97K
--0.00
Net cash flow
Beginning cash balance
176.63%85.64M
472.12%72.91M
--176.10M
1.32%12.17M
37.11%30.96M
-47.71%12.74M
-80.30%12.02M
-79.86%22.58M
-86.21%24.37M
-40.51%43.49M
89.78%61.00M
4899.59%112.11M
9852.48%176.69M
1022.08%73.10M
4151.59%32.14M
7.01%2.24M
-27.57%1.78M
42.67%6.51M
-68.41%756.06K
-21.38%2.10M
-54.83%2.45M
-40.02%4.57M
-86.72%2.39M
-85.22%2.67M
2301.01%5.43M
3257.94%7.61M
7340.63%18.02M
7099.19%18.03M
-13.81%226.02K
-20.13%226.74K
-10.65%242.23K
-15.85%250.51K
-20.24%262.23K
-16.31%283.89K
-37.95%271.11K
-38.27%297.69K
-36.23%328.78K
-33.34%339.24K
-20.22%436.95K
-16.92%482.24K
-11.36%515.58K
-18.72%508.93K
33.39%547.68K
23.63%580.42K
--581.65K
--626.13K
41850287.29%410.58K
49291163.15%469.48K
--0.98
--0.95
Current period cash flow changes
224.26%23.34M
-30.14%12.72M
---103.19M
1941.72%163.92M
-73.83%-18.78M
1086.75%18.21M
155.70%8.03M
77.78%-10.81M
97.20%-1.85M
-120.04%-20.78M
-133.53%-14.41M
-266.34%-48.63M
-15552.75%-65.92M
2253.26%103.70M
679.20%42.99M
2143.44%29.24M
337.56%426.61K
-122.06%-4.82M
153.34%5.52M
-349.36%-1.43M
93.82%-179.58K
-16.84%-2.17M
120.31%2.18M
-196.79%-318.42K
-58172.01%-2.91M
-27659.53%-1.86M
-60822.07%-10.72M
12232.24%328.96K
35.89%-4.99K
69.71%-6.69K
-290.63%-17.60K
83.20%-2.71K
33.45%-7.78K
-38.84%-22.08K
93.38%-4.51K
45.57%-16.14K
-26.89%-11.70K
-42.33%-15.90K
-268.51%-68.04K
-84.83%-29.65K
29.99%-9.22K
55.21%-11.17K
-107.97%-18.46K
70.65%-16.04K
---13.17K
---24.94K
-20.95%231.58K
---54.65K
--292.97K
--0.00
Effect of exchange rate changes
91.50%-95.00K
-159.82%-201.00K
---39.00K
29366.72%1.10M
-4346.42%-1.12M
115.41%336.00K
-99.60%3.72K
97.35%-25.14K
14.67%-2.18M
423.68%1.67M
6.16%930.32K
-182.55%-950.54K
-3242.95%-2.56M
--319.32K
--876.33K
---336.42K
---76.45K
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Ending cash balance
795.14%108.97M
176.63%85.64M
--72.91M
773.39%176.10M
3.45%12.17M
37.45%30.96M
-56.84%20.16M
-81.27%11.77M
-79.69%22.52M
-86.44%23.88M
-37.53%46.72M
98.03%62.82M
4914.01%110.91M
10276.83%176.07M
1069.68%74.78M
4246.32%31.72M
-2.49%2.21M
-29.43%1.70M
38.43%6.39M
-68.91%729.92K
-13.01%2.27M
-58.08%2.40M
-38.28%4.62M
-87.21%2.35M
1080.96%2.61M
2505.71%5.73M
3229.64%7.48M
7307.59%18.36M
-13.21%220.84K
-15.54%220.09K
-15.76%224.73K
-12.07%247.82K
-19.79%254.46K
-19.50%260.59K
-27.98%266.76K
-37.84%281.84K
-37.32%317.26K
-34.97%323.72K
-30.04%370.42K
-19.64%453.42K
-11.02%506.16K
-17.23%497.80K
-17.53%529.45K
36.24%564.26K
--568.84K
--601.43K
118.32%641.97K
43483876.95%414.17K
--294.06K
--0.95
Free cash flow
-146.35%-98.08M
-205.29%-67.84M
---113.79M
-373.26%-19.91M
-421.92%-39.81M
---22.22M
93.71%-4.21M
87.32%-7.63M
----
-33.81%-49.57M
-189.19%-66.92M
-464.36%-60.16M
-27301.24%-63.86M
-1056.81%-37.05M
-3194.86%-23.14M
-875.29%-10.66M
91.32%-233.05K
-175.16%-3.20M
-126.37%-702.31K
-295.27%-1.09M
-285.96%-2.69M
109.54%4.26M
116.09%2.66M
98.25%-276.51K
--1.44M
---44.68M
---16.55M
---15.77M
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33.45%-7.78K
-38.84%-22.08K
93.38%-4.51K
-141.64%-16.14K
---11.70K
---15.90K
---68.04K
---6.68K
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KeyAI