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* Free cash flow = OCF − net investing outflow (the filings carry no standalone capex line).
| Line item | 2023 | 2024 | CAGR |
|---|---|---|---|
| Net Cash from Operating Activities | 257 | 2,146 | +736.0% |
| Net Cash used in Investing Activities | 205 | 1,562 | +663.1% |
| Free Cash Flow (OCF − Capex proxy) | 52 | 584 | +1022.9% |
| Net Cash from Financing Activities | 0 | 842 | |
| Net Change in Cash (before FX) | 52 | 1,426 | +2642.8% |
| Net Change in Cash (incl. FX) | 52 | 1,426 | +2642.8% |
| Cash at Beginning of Year | 88 | 140 | +59.2% |
| Cash at End of Year | 140 | 1,566 | +1019.4% |
Shareholders, directors and group links from the companyinfo.ge public register — as filed, so stakes need not sum to 100% where a holding is undisclosed.
Ownership & directors from companyinfo.ge (public corporate registry).