share_log

As Of December 31, 2023, Galera Had Cash And Cash Equivalents Of $18.3M Which Is Expected To Provide Cash Runway Into Q2 Of 2025

As Of December 31, 2023, Galera Had Cash And Cash Equivalents Of $18.3M Which Is Expected To Provide Cash Runway Into Q2 Of 2025

截至2023年12月31日,Galera拥有1,830万美元的现金及现金等价物,预计将在2025年第二季度提供现金流
Benzinga ·  03/28 19:16

As Of December 31, 2023, Galera Had Cash And Cash Equivalents Of $18.3M Which Is Expected To Provide Cash Runway Into Q2 Of 2025

截至2023年12月31日,Galera拥有1,830万美元的现金及现金等价物,预计将在2025年第二季度提供现金流

译文内容由第三方软件翻译。


以上内容仅用作资讯或教育之目的,不构成与富途相关的任何投资建议。富途竭力但不能保证上述全部内容的真实性、准确性和原创性。
    抢沙发