Cash flow from operating activities CFO
-0.0006 B
Last period CFO ,USD
80%
CFO has increased in 2 years
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.
See also Treasure
Company Analysis
TGL valuation, rating, competitors, insights and company profile
Eyestock Rating
TGL financial analysis by Eyestock methodology
Valuation
TGL valuation using historical relative method
Financials
TGL revenue, earnings, ROE, ROIC and other financials
Statements
TGL Income Statements, Balance Sheet and Cash Flow Statements
Dividends
TGL dividend yield and annual dividend
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 Treasure ?
Treasure`s CFO for the period ended 2024-06-30 is -0.0006 B USD