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i3 Interactive (BLITF)
OTHER OTC:BLITF
US Market

i3 Interactive (BLITF) Cash flow

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i3 Interactive Cash Flow

BLITF's free cash flow for Q3 2021 was C$-1.64M. For the 2021 fiscal year, BLITF's free cash flow was decreased by C$64.11K and operating cash flow was C$-1.64M. See a summary of the company’s cash flow.
Cash Flow
Dec 20Dec 19Dec 18Dec 17Dec 16
Operating Cash Flow
-C$ -64.11KC$ -16.52KC$ -311.87KC$ -16.36K
Investing Cash Flow
-C$ 56.14KC$ 23.58KC$ -43.03KC$ -425.15K
Financing Cash Flow
--C$ 0.00C$ 337.31KC$ 445.69K
End Cash Position
-C$ 247.00C$ 8.22KC$ 1.15KC$ 18.74K
Free Cash Flow
-C$ -64.11KC$ -17.93KC$ -354.90KC$ -272.18K
Currency in CAD

i3 Interactive Cash Flow