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PRISMI S.p.A. (IT:PRM)
:PRM
Italy Market

PRISMI S.p.A. (PRM) Cash flow

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PRISMI S.p.A. Cash Flow

IT:PRM's free cash flow for Q4 2023 was €-4.42M. For the 2023 fiscal year, IT:PRM's free cash flow was decreased by €-703.59K and operating cash flow was €-4.01M. See a summary of the company’s cash flow.
Cash Flow
Dec 23Dec 22Dec 21Dec 20Dec 19
Operating Cash Flow
€ -3.97M€ -2.33M€ 6.43M€ 7.03M€ -3.14M
Investing Cash Flow
€ -1.96M€ -1.53M€ -9.05M€ -844.73K€ -2.46M
Financing Cash Flow
€ 3.77M€ 3.26M€ 2.86M€ -6.15M€ 5.02M
End Cash Position
€ 567.00K€ 321.67K€ 918.07K€ 678.27K€ 647.40K
Free Cash Flow
€ -4.56M€ -3.85M€ 5.05M€ 6.18M€ -5.59M
Currency in EUR

PRISMI S.p.A. Cash Flow

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