返回返回筹资活动产生的现金流的KALRAY SA EUR1。
年度数据
2017
2018
2019
2020
2021
2022
2023
净利率,TTM
−13.00 M
0.00
13.00 M
26.00 M
39.00 M
2023
−484.00 K
−38.46 M
−101.27%
2022
37.98 M
+26.81 M
+240.14%
2021
11.17 M
−8.40 M
−42.93%
2020
19.57 M
+18.44 M
+1.63 K%
2019
1.13 M
−39.82 M
−97.24%
半年度数据
H2 '18
H1 '19
H2 '19
H1 '20
H2 '20
H1 '21
H2 '21
H1 '22
H2 '22
H1 '23
H2 '23
H1 '24
−11.00 M
0.00
11.00 M
22.00 M
33.00 M
H1 '23
−633.00 K
−30.94 M
−102.09%
H2 '22
30.31 M
+22.63 M
+294.92%