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PomVom LTD. (IL:PMVM)
TASE:PMVM
Israel Market
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Pomvom (PMVM) Cash flow

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Pomvom Cash Flow

IL:PMVM's free cash flow for Q2 2026 was ₪-13.01M. For the 2026 fiscal year, IL:PMVM's free cash flow was decreased by ₪12.51M and operating cash flow was ₪-10.83M. See a summary of the company’s cash flow.
Cash Flow
Dec 25Dec 24Dec 23Dec 22Dec 21
Operating Cash Flow
₪ -157.00K₪ -11.60M₪ -11.36M₪ -8.54M₪ -11.06M
Investing Cash Flow
₪ -1.57M₪ -10.00M₪ -12.31M₪ -3.75M₪ 2.70M
Financing Cash Flow
₪ 11.98M₪ 15.95M₪ -4.94M₪ 25.12M₪ 40.57M
End Cash Position
₪ 23.86M₪ 15.38M₪ 21.01M₪ 47.60M₪ 34.23M
Free Cash Flow
₪ -3.46M₪ -15.97M₪ -24.17M₪ -12.38M₪ -12.37M
Currency in ILS

Pomvom Cash Flow