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Boyaa Interactive International Ltd. (BOYAF)
OTHER OTC:BOYAF
US Market

Boyaa Interactive International (BOYAF) Cash flow

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Boyaa Interactive International Cash Flow

BOYAF's free cash flow for Q2 2026 was ¥18.95M. For the 2026 fiscal year, BOYAF's free cash flow was decreased by ¥-116.39M and operating cash flow was ¥18.97M. See a summary of the company’s cash flow.
Cash Flow
Dec 25Dec 24Dec 23Dec 22Dec 21
Operating Cash Flow
HK$ 77.27M¥ 163.73M¥ 93.19M¥ 128.39M¥ 123.94M
Investing Cash Flow
HK$ -480.64M¥ -733.31M¥ 338.62M¥ -89.78M¥ -256.34M
Financing Cash Flow
HK$ 325.91M¥ -33.62M¥ -4.15M¥ -4.13M¥ -4.18M
End Cash Position
HK$ 62.08M¥ 128.40M¥ 744.26M¥ 293.96M¥ 248.31M
Free Cash Flow
HK$ 37.41M¥ 153.80M¥ 82.25M¥ 124.88M¥ 120.95M

Boyaa Interactive International Cash Flow