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Last update Jul 16, 8:05 AM CEST
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Vsblty Groupe Technologies Corp.
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Financials

Cash flow

Fundamentals currency is USD
Fiscal date 2023 2022 2021 2020
Operating activities -8.7M -9.4M -12.1M -5.7M
Net income -9.8M -10.5M -16.2M -6.5M
Depreciation 116.2K 110.2K 76.2K 63.4K
Deferred taxes
StockBased compensation 31.6K 1.1M 6.2M 290.1K
Other non cash items 190.3K 100.2K 222.9K 612.5K
Accounts receivable 724.6K -571.0K -1.4M -103.5K
Accounts payable
Other assets liabilities 66.5K 385.8K -1.0M 4.4K
Investing activities -386.9K -1.2M -1.7M -14.5K
Capital expenditures -2.9K -51.8K -63.9K -14.5K
Net intangibles
Net acquisitions 1.2K 0
Purchase of investments 0 -7.7K -1M 0
Sale of investments
Other investing activity -385.2K -1.2M -630.7K
Financing activities 2.9M 5.4M 7.1M 5.7M
Long term debt issuance 0 503.5K
Long term debt payments -718.6K -204.6K -158.3K -239.3K
Short term debt issuance 309.9K -114.6K 0 1.4M
Common stock issuance 3.3M 5.7M 7.3M 4.2M
Common stock repurchase
Common dividends
Other financing charges -141.3K
End cash position 46.1K 906.5K 4.9M 1.9M
Income tax paid 0 0
Interest paid 119.4K 85.4K 420.2K 22.7K
Free cash flow -4.0M -9.1M -9.3M -5.2M
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