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Vivid Games SA (DE:6V2)
STUTTGART:6V2
Germany Market

Vivid Games SA (6V2) Cash flow

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Vivid Games SA Cash Flow

DE:6V2's free cash flow for Q2 2026 was zł-1.48M. For the 2026 fiscal year, DE:6V2's free cash flow was decreased by zł-2.94M and operating cash flow was zł341.27K. See a summary of the company’s cash flow.
Cash Flow
Mar 26Mar 25Dec 23Dec 22Dec 21
Operating Cash Flow
zł 410.39Kzł 1.70Mzł 3.04Mzł -890.62Kzł 2.04M
Investing Cash Flow
zł -6.04Mzł -4.38Mzł -3.93Mzł 3.56Mzł -1.67M
Financing Cash Flow
zł 8.74Mzł 2.38Mzł -117.33Kzł -4.04Mzł -5.30M
End Cash Position
zł 3.49Mzł 376.29Kzł 682.10Kzł 1.69Mzł 3.05M
Free Cash Flow
zł -5.64Mzł -2.69Mzł -903.19Kzł -1.69Mzł 1.85M
Currency in PLN

Vivid Games SA Cash Flow