Editing Meatech
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| Net cash from investing activities|| (253)|| (1,875)|| (6,087) | | Net cash from investing activities|| (253)|| (1,875)|| (6,087) | ||
|- | |- | ||
| Proceeds from issuance of shares & warrants|| 1, | | Proceeds from issuance of shares & warrants|| 1,491|| 15,631|| 43,808 | ||
|- | |- | ||
| Issuance costs|| | | Issuance costs|| 1,491|| 15,631|| 43,808 | ||
|- | |- | ||
| Repayment of lease liability || | | Repayment of lease liability || 1,491|| 15,631|| 43,808 | ||
|- | |- | ||
| Proceeds from exercise of share options || | | Proceeds from exercise of share options || 1,491|| 15,631|| 43,808 | ||
|- | |- | ||
| Proceeds from other financing activities || | | Proceeds from other financing activities || 1,491|| 15,631|| 43,808 | ||
|- | |- | ||
| Net cash from financing activities ||1, | | Net cash from financing activities || 1,491|| 15,631|| 43,808 | ||
|- | |- | ||
| Increase in cash & cash equivalents||1, | | Increase in cash & cash equivalents|| 1,491|| 15,631|| 43,808 | ||
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| FX|| | | FX|| 1,491|| 15,631|| 43,808 | ||
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| Cash & cash equivalents at start of the period || | | Cash & cash equivalents at start of the period || 1,491|| 15,631|| 43,808 | ||
|- | |- | ||
| Cash & cash equivalents at end of the period || 1, | | Cash & cash equivalents at end of the period || 1,491|| 15,631|| 43,808 | ||
|- | |- | ||
| colspan=4 | '''Source: MeaTech 3D''' | | colspan=4 | '''Source: MeaTech 3D''' |