Redcare Pharmacy N.V.
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Financials

Cash flow

Fiscal date Sep 2025 Jun 2025 Mar 2025 Dec 2024
Operating activities -14.6M -16.3M -8.3M -38.6M
Net income -2.1M -652K -9.1M -23.6M
Depreciation
Deferred taxes
StockBased compensation 859K 742K 724K 634K
Other non cash items
Accounts receivable -4.0M -1.9M -7.0M -5.1M
Accounts payable
Other assets liabilities -9.4M -14.4M 7.0M -10.5M
Investing activities 86.0M -168.8M -12.7M 26.2M
Capital expenditures -14.1M -26.7M -12.2M -2.4M
Net intangibles -10.7M -10.1M -8.2M -10.0M
Net acquisitions 0 256K
Purchase of investments 100.1M -142.1M -495K -1.7M
Sale of investments 0 30M
Other investing activity 0
Financing activities -588K 139.0M -174K -1.4M
Long term debt issuance -181K 296.5M 0
Long term debt payments -407K -157.7M -406K -3.3M
Short term debt issuance
Common stock issuance 0 159K 232K 1.8M
Common stock repurchase
Common dividends
Other financing charges
End cash position 144.6M 93.7M 104.0M 96.9M
Income tax paid
Interest paid
Free cash flow -45.0M -3.7M 16.6M -29.4M
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