182) 324,409 Net cash used in operating activities (4,615,030) (6,929,004)CASH FLOWS FROM INVESTING ACTIVITIES:Net increase in restricted cash (14,706) -Purchases of property and equipment (153,721) (881,190)Capitalized patent costs (57,514) (161,744)...
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Reactions to New Generation Biofuels Reports Fourth Quarter and Full Year 2010 Financial Results
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