Bruush Oral Care Inc. - Cash Flow Statement (TTM)

Bruush Oral Care Inc.
US ˙ NasdaqCM ˙ CA11750K4019
THIS SYMBOL IS NO LONGER ACTIVE

Cash Flow Statement (TTM)

Bruush Oral Care Inc. Cash Flow Statement shows changes in cash positions over time. Cash Flow Statement data includes Cash from Operating Activities (CFOP), Cash from Investing Activities, and Cash from Financing Activities.

All numbers are times 1,000,000 except per share units.

2021
01-31
2021
10-31
2022
07-31
2022
10-31
2023
01-31
2023
04-30
Cash From Operating Activities -4 -1 -3 -13 -13 -14
Change (%) -77.92 221.27 337.93 5.50 5.22
% of Cash Flow -791.48 98.98 -293.67 -21,562.88 16,598.49 6,398.12
Cash From Investing Activities -0 -0 -0 -0 -0 -0
Change (%) 784.48 -59.50 -82.16 -15.57 -18.50
% of Cash Flow -0.62 3.13 -1.17 -3.50 2.15 0.64
Cash From Financing Activities 5 0 4 13 13 14
Change (%) -99.58 20,240.46 227.29 4.38 4.20
% of Cash Flow 892.11 -2.10 394.84 21,666.37 -16,500.64 -6,298.77
Cash Flow 1 -1 1 0 -0 -0
Change (%) -276.59 -208.28 -94.04 -237.06 172.96
% of Cash Flow 100.00 100.00 100.00 100.00 100.00 100.00

Source: Capital IQ

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