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Anterix Inc. (DE:2X6)
STUTTGART:2X6
Germany Market

Anterix (2X6) Cash flow

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Anterix Cash Flow

DE:2X6's free cash flow for Q1 2027 was $2.01M. For the 2027 fiscal year, DE:2X6's free cash flow was decreased by $52.92M and operating cash flow was $2.04M. See a summary of the company’s cash flow.
Cash Flow
Mar 26Mar 25Mar 24Mar 23Mar 22
Operating Cash Flow
$ 5.51M$ -29.26M$ 41.99M$ -27.25M$ 17.91M
Investing Cash Flow
$ 40.53M$ 22.75M$ 8.09M$ -27.13M$ -27.41M
Financing Cash Flow
$ 3.59M$ -6.59M$ -25.14M$ -8.06M$ -2.42M
End Cash Position
$ 104.66M$ 55.02M$ 68.12M$ 43.18M$ 105.62M
Free Cash Flow
$ 5.48M$ -47.45M$ 24.66M$ -54.38M$ -9.50M
Currency in USD

Anterix Cash Flow