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Paladin Energy Ltd (PALAF)
OTHER OTC:PALAF
US Market

Paladin Energy Ltd (PALAF) Cash flow

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Paladin Energy Ltd Cash Flow

PALAF's free cash flow for Q4 2024 was $-124.82K. For the 2024 fiscal year, PALAF's free cash flow was decreased by $-53.40M and operating cash flow was $-38.72K. See a summary of the company’s cash flow.
Cash Flow
Jun 24Jun 23Jun 22Jun 21Jun 20
Operating Cash Flow
$ -48.12M$ -9.38M$ -9.37M$ -64.79M$ -11.48M
Investing Cash Flow
$ -94.65M$ -35.79M$ 16.49M$ -2.96M$ -307.00K
Financing Cash Flow
$ 65.92M$ 85.00K$ 217.04M$ 58.94M$ 19.72M
End Cash Position
$ 48.86M$ 126.64M$ 258.95M$ 42.17M$ 34.24M
Free Cash Flow
$ -65.42M$ -12.02M$ -11.00M$ -66.29M$ -12.77M
Currency in USD

Paladin Energy Ltd Cash Flow

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