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Gasporox AB (SE:GPX)
:GPX
Sweden Market

Gasporox AB (GPX) Cash flow

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Gasporox AB Cash Flow

SE:GPX's free cash flow for Q3 2025 was kr0.00. For the 2025 fiscal year, SE:GPX's free cash flow was decreased by kr465.00K and operating cash flow was kr-176.00K. See a summary of the company’s cash flow.
Cash Flow
Dec 24Dec 23Dec 22Dec 21Dec 20
Operating Cash Flow
kr 4.36Mkr 3.34Mkr -1.19Mkr -3.39Mkr -642.00K
Investing Cash Flow
kr -7.52Mkr -7.04Mkr -7.01Mkr -6.52Mkr -5.45M
Financing Cash Flow
kr -648.00Kkr -240.00Kkr 8.50Mkr -53.00Kkr 18.00M
End Cash Position
kr 6.81Mkr 10.62Mkr 14.56Mkr 14.27Mkr 24.23M
Free Cash Flow
kr -3.52Mkr -3.98Mkr -8.28Mkr -9.91Mkr -6.09M
Currency in SEK

Gasporox AB Cash Flow