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Prairie Operating Co (PROP)
NASDAQ:PROP
US Market

Prairie Operating Co (PROP) Cash flow

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Prairie Operating Co Cash Flow

PROP's free cash flow for Q4 2024 was $-23.69M. For the 2024 fiscal year, PROP's free cash flow was decreased by $-5.25M and operating cash flow was $-3.69M. See a summary of the company’s cash flow.
Cash Flow
Dec 24Dec 23Dec 22Dec 21Dec 20
Operating Cash Flow
$ -9.35M$ -11.94M$ -2.19M$ -6.97M$ -1.07M
Investing Cash Flow
$ -83.41M$ -23.68M$ -1.82M$ -9.93M$ -156.73K
Financing Cash Flow
$ 84.91M$ 48.58M$ 1.47M$ 17.79M$ 347.50K
End Cash Position
$ 5.19M$ 13.04M$ 246.36K$ 2.79M$ 1.90M
Free Cash Flow
$ -38.59M$ -33.34M$ -7.49M$ -9.29M$ -1.23M
Currency in USD

Prairie Operating Co Cash Flow

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