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GREE Inc (GREZF)
OTHER OTC:GREZF
US Market

GREE (GREZF) Cash flow

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GREE Cash Flow

GREZF's free cash flow for Q4 2023 was ¥0.00. For the 2023 fiscal year, GREZF's free cash flow was decreased by ¥-797.00M and operating cash flow was ¥0.00. See a summary of the company’s cash flow.
Cash Flow
Jun 24Jun 23Jun 22Jun 21Jun 20
Operating Cash Flow
¥ 3.50B¥ 4.59B¥ 13.22B¥ 1.77B¥ 2.03B
Investing Cash Flow
¥ -23.00M¥ -439.00M¥ -5.30B¥ 9.29B¥ 4.20B
Financing Cash Flow
¥ -999.00M¥ 3.26B¥ -37.52B¥ -4.01B¥ -3.75B
End Cash Position
¥ 77.29B¥ 74.29B¥ 66.62B¥ 94.82B¥ 87.02B
Free Cash Flow
¥ 3.36B¥ 4.16B¥ 11.87B¥ 1.72B¥ 1.71B
Currency in JPY

GREE Cash Flow

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