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Paxman AB (PXMBF)
OTHER OTC:PXMBF
US Market

Paxman AB (PXMBF) Cash flow

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Paxman AB Cash Flow

PXMBF's free cash flow for Q3 2025 was kr-10.29M. For the 2025 fiscal year, PXMBF's free cash flow was decreased by kr25.69M and operating cash flow was kr-5.98M. See a summary of the company’s cash flow.
Cash Flow
Dec 24Dec 23Dec 22Dec 21Dec 20
Operating Cash Flow
kr 39.10Mkr 15.63Mkr 2.69Mkr -4.14Mkr -8.48M
Investing Cash Flow
kr -24.50Mkr -25.33Mkr -36.69Mkr -24.45Mkr -6.32M
Financing Cash Flow
kr 721.00Kkr -3.41Mkr -169.00Kkr 97.28Mkr 16.78M
End Cash Position
kr 40.31Mkr 24.98Mkr 38.09Mkr 72.27Mkr 3.58M
Free Cash Flow
kr 15.99Mkr -9.70Mkr -33.01Mkr -27.94Mkr -14.80M
Currency in SEK

Paxman AB Cash Flow