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Betmakers Technology Group Ltd. (TPBTF)
OTHER OTC:TPBTF
US Market

Betmakers Technology Group Ltd. (TPBTF) Cash flow

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Betmakers Technology Group Ltd. Cash Flow

TPBTF's free cash flow for Q4 2024 was AU$31.00K. For the 2024 fiscal year, TPBTF's free cash flow was decreased by AU$27.46M and operating cash flow was AU$798.00K. See a summary of the company’s cash flow.
Cash Flow
Jun 24Jun 23Jun 22Jun 21Jun 20
Operating Cash Flow
AU$ 3.21MAU$ -24.26MAU$ -18.22MAU$ -2.02MAU$ -501.15K
Investing Cash Flow
AU$ -11.47MAU$ -11.03MAU$ -22.77MAU$ -46.74MAU$ -222.62K
Financing Cash Flow
AU$ -2.69MAU$ -11.73MAU$ 7.94MAU$ 137.75MAU$ 31.90M
End Cash Position
AU$ 29.33MAU$ 41.04MAU$ 87.55MAU$ 120.61MAU$ 31.62M
Free Cash Flow
AU$ -5.03MAU$ -32.49MAU$ -34.38MAU$ -4.66MAU$ -723.77K
Currency in AUD

Betmakers Technology Group Ltd. Cash Flow

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