Cash flow from operating activities CFO
0.0011 B
Last period CFO ,EUR
What is CFO ?
Operating cash flow is the difference between the income and expenses of cash that is generated as a result of the main activities of the company.
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What is CFO ?
Operating cash flow is the difference between the income and expenses of cash that is generated as a result of the main activities of the company.
What is CFO of Societa Editoriale ?
Societa Editoriale`s CFO for the period ended 2023-06-30 is 0.0011 B EUR