Can B CorpNASCCash flow

Market cap
$1.29M
P/E ratio
2019/122020/122021/122022/122023/12
Stock-based compensation32251
Cash from operations -2,413,420-1,947,091-7,322,732-3,947,424-1,304,495
Capital expenditures-1,105,403-50,219-538,763--15,000
Cash from investing -1,660,282-25,249-860,793--84,631
Repurchases of common stock-560,000---
Cash from financing 32841
Free cash flow-
FCF margin (%)-