Betmakers Technology Group Ltd. (TPBTF)
OTHER OTC:TPBTF
Holding TPBTF?
Track your performance easily

Betmakers Technology Group Ltd. (TPBTF) Cash flow

2 Followers

Betmakers Technology Group Ltd. Cash Flow

TPBTF's free cash flow for Q4 2022 was AU$―. For the 2022 fiscal year, TPBTF's free cash flow was decreased by AU$-29.72M and operating cash flow was AU$―. See a summary of the company’s cash flow.
Cash Flow
TTM
Jun 22Jun 21Jun 20Jun 19Jun 18
Operating Cash Flow
------
Investing Cash Flow
-AU$ -22.77MAU$ -46.74MAU$ -222.62KAU$ -6.75MAU$ 85.69K
Financing Cash Flow
-AU$ 7.94MAU$ 137.75MAU$ 31.90MAU$ 8.83MAU$ 9.52M
Cash Flow From Discontinued Operation
------
Other Cash Adjustment Inside Changein Cash
------
End Cash Position
-AU$ 87.55MAU$ 120.61MAU$ 31.62MAU$ 453.10KAU$ 1.46M
Income Tax Paid Supplemental Data
-AU$ 109.00KAU$ 101.03KAU$ 8.04KAU$ 87.26KAU$ -766.10K
Interest Paid Supplemental Data
-AU$ 541.00KAU$ 16.99KAU$ 374.80KAU$ 52.04KAU$ 7.65K
Issuance Of Capital Stock
-AU$ 8.83MAU$ 142.81MAU$ 37.76MAU$ 9.14MAU$ 10.06M
Issuance Of Debt
------
Repayment Of Debt
------
Free Cash Flow
-AU$ -34.38MAU$ -4.66MAU$ -723.77KAU$ -3.11MAU$ -11.98M
Domestic Sales
------
Foreign Sales
------
Currency in AUD

Betmakers Technology Group Ltd. Cash Flow

What am I Missing?
Make informed decisions based on Top Analysts' activity
Know what industry insiders are buying
Get actionable alerts from top Wall Street Analysts
Find out before anyone else which stock is going to shoot up
Get powerful stock screeners & detailed portfolio analysis