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Strathmore Plus Energy (SUUFF)
OTHER OTC:SUUFF
US Market

Strathmore Plus Energy (SUUFF) Cash flow

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Strathmore Plus Energy Cash Flow

SUUFF's free cash flow for Q4 2024 was $-363.16K. For the 2024 fiscal year, SUUFF's free cash flow was decreased by $274.94K and operating cash flow was $-89.59K. See a summary of the company’s cash flow.
Cash Flow
Jul 24Jul 23Jul 22Jul 21Jul 20
Operating Cash Flow
$ -2.11M$ -3.18M$ -730.14K$ -273.98K$ -715.59K
Investing Cash Flow
$ ―$ ―$ ―$ ―$ ―
Financing Cash Flow
$ ―$ ―$ ―$ ―$ ―
End Cash Position
$ ―$ ―$ ―$ ―$ ―
Free Cash Flow
$ -3.24M$ -3.52M$ -730.14K$ -273.98K$ -715.59K
Currency in USD

Strathmore Plus Energy Cash Flow