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Troy Resources (TRYRF)
OTHER OTC:TRYRF
US Market

Troy Resources (TRYRF) Cash flow

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Troy Resources Cash Flow

TRYRF's free cash flow for Q4 2020 was AU$-3.78M. For the 2020 fiscal year, TRYRF's free cash flow was decreased by AU$1.17M and operating cash flow was AU$0.00. See a summary of the company’s cash flow.
Cash Flow
Jun 21Jun 20Jun 19Jun 18Jun 17
Operating Cash Flow
AU$ -10.41MAU$ -826.00KAU$ 25.58MAU$ 16.83MAU$ -1.79M
Investing Cash Flow
AU$ -4.33MAU$ -14.80MAU$ -15.55MAU$ -831.00KAU$ -10.95M
Financing Cash Flow
AU$ 11.70MAU$ 12.53MAU$ -3.61MAU$ -23.52MAU$ 18.26M
End Cash Position
AU$ 1.78MAU$ 4.91MAU$ 7.84MAU$ 1.34MAU$ 8.86M
Free Cash Flow
AU$ -14.76MAU$ -15.93MAU$ 9.81MAU$ 15.93MAU$ -18.19M
Currency in AUD

Troy Resources Cash Flow

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