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擁有1,830萬美元的現金及現金等價物,預計將在2025年第二季度提供現金流
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擁有1,830萬美元的現金及現金等價物,預計將在2025年第二季度提供現金流
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