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Gattaca PLC (DE:MNZ)
FRANKFURT:MNZ
Germany Market

Gattaca (MNZ) Cash flow

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Gattaca Cash Flow

DE:MNZ's free cash flow for Q2 2026 was £864.00K. For the 2026 fiscal year, DE:MNZ's free cash flow was decreased by £-6.40M and operating cash flow was £1.03M. See a summary of the company’s cash flow.
Cash Flow
Jul 25Jul 24Jul 23Jul 22Jul 21
Operating Cash Flow
£ -3.11M£ 3.40M£ 9.54M£ -1.20M£ -4.20M
Investing Cash Flow
£ 17.00K£ -31.00K£ -48.00K£ -399.00K£ -415.00K
Financing Cash Flow
£ -2.56M£ -3.49M£ -3.69M£ -10.06M£ -598.00K
End Cash Position
£ 17.14M£ 22.82M£ 23.38M£ 17.77M£ 29.24M
Free Cash Flow
£ -3.16M£ 3.24M£ 9.36M£ -1.60M£ -4.62M
Currency in GBP

Gattaca Cash Flow