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Codere Online Luxembourg SA (CDRO) Cash From Financing

Annual CFF

$0.00
-$106.26 M-100.00%

31 December 2022

CDRO Cash From Financing Chart

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CDRO Cash From Financing Performance

PeriodPeriodAnnualAnnualQuarterlyQuarterlyTTMTTM
1 y1 year---
3 y3 years-100.0%--
5 y5 years---

CDRO Cash From Financing High & Low

PeriodPeriodAnnual vs highAnnual vs highAnnual vs lowAnnual vs lowQuarter. vs highQuarter. vs highQuarter. vs lowQuarter. vs lowTTM vs highTTM vs highTTM vs lowTTM vs low
3 y3 years-100.0%
5 y5 years-100.0%
alltimeall time-100.0%

Codere Online Luxembourg SA Cash From Financing History

DateAnnualQuarterlyTTM
Dec 2022
$0.00(-100.0%)
-
-
Dec 2021
$106.26 M(>+9900.0%)
-
-
DateAnnualQuarterlyTTM
Dec 2020
$290.10 K(-96.2%)
-
-
Dec 2019
$7.63 M
-
-

FAQ

  • What is Codere Online Luxembourg SA annual cash flow from financing activities?
  • What is the all time high annual CFF for Codere Online Luxembourg SA?

What is Codere Online Luxembourg SA annual cash flow from financing activities?

The current annual CFF of CDRO is $0.00

What is the all time high annual CFF for Codere Online Luxembourg SA?

Codere Online Luxembourg SA all-time high annual cash flow from financing activities is $106.26 M