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Puma VCT 13 PLC (GB:PU13)
LSE:PU13
UK Market

Puma VCT 13 PLC (PU13) Cash flow

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Puma VCT 13 PLC Cash Flow

GB:PU13's free cash flow for Q2 2020 was £99.50K. For the 2020 fiscal year, GB:PU13's free cash flow was decreased by £-217.00K and operating cash flow was £99.50K. See a summary of the company’s cash flow.
Cash Flow
Feb 26Feb 25Feb 24Feb 23Feb 22
Operating Cash Flow
£ -2.11M£ -1.89M£ -3.20M£ -3.44M£ -1.62M
Investing Cash Flow
£ -67.09M£ -47.35M£ -50.68M£ -12.16M£ -7.70M
Financing Cash Flow
£ 58.45M£ 45.14M£ 35.35M£ 36.71M£ 20.11M
End Cash Position
£ 7.20M£ 17.95M£ 22.05M£ 34.29M£ 13.18M
Free Cash Flow
£ -2.11M£ -1.89M£ -3.20M£ -3.44M£ -1.62M
Currency in GBP

Puma VCT 13 PLC Cash Flow