Arcimoto IncFUVCash flow

Market cap
$3.59M
P/E ratio
2017/122018/122019/122020/122021/122022/12
Depreciation & amortization20,107454,494710,401930,40123,764,919
Stock-based compensation203,734495,605635,319246,184,274
Cash from operations -3,344,437-12,672,033-14,290,913-16,293,511-39,291,481-47,520,722
Capital expenditures-1,960,438-1,717,038-254,611-2,843,087-17,355,966-8,062,434
Cash from investing -8,207,2884-254,611-2,902,787-19,125,829-8,065,397
Cash from financing 19515533639,077,552
Free cash flow
FCF margin (%)