ASX - Delayed Quote AUD
M3 Mining Limited (M3M.AX)
At close: October 18 at 3:11 PM GMT+11
Breakdown
TTM
6/30/2024
6/30/2023
6/30/2022
Cash Flows from Used in Operating Activities Direct
-1,736.3610
-1,736.3610
-1,797.7670
-1,216.4760
Investing Cash Flow
--
--
-43.1300
-55.4960
Financing Cash Flow
847.8520
847.8520
1,111.7470
2,883.5770
End Cash Position
1,948.9850
1,948.9850
2,837.4940
3,566.6440
Capital Expenditure
--
--
-28.1300
-55.4960
Issuance of Capital Stock
751.0470
751.0470
1,116.3100
3,235.9970
Repurchase of Capital Stock
-56.5380
-56.5380
-4.5630
-352.4200
Free Cash Flow
-1,736.3610
-1,736.3610
-1,825.8970
-1,271.9720
6/30/2022 - 7/29/2021
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