Annual CFF
-$2.18 M
-$504.80 K-30.11%
31 March 2024
Summary:
Rectitude Holdings Ltd. annual cash flow from financing activities is currently -$2.18 million, with the most recent change of -$504.80 thousand (-30.11%) on 31 March 2024. RECT annual CFF is now -193.16% below its all-time high of -$744.10 thousand, reached on 01 March 2022.RECT Cash From Financing Chart
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RECT Cash From Financing Performance
PeriodPeriod | AnnualAnnual | QuarterlyQuarterly | TTMTTM |
---|---|---|---|
1 y1 year | -30.1% | - | - |
3 y3 years | - | - | - |
5 y5 years | - | - | - |
RECT Cash From Financing High & Low
PeriodPeriod | Annual vs highAnnual vs high | Annual vs lowAnnual vs low | Quarter. vs highQuarter. vs high | Quarter. vs lowQuarter. vs low | TTM vs highTTM vs high | TTM vs lowTTM vs low | |
---|---|---|---|---|---|---|---|
3 y | 3 years | -193.2% | at low | ||||
5 y | 5 years | -193.2% | at low | ||||
alltime | all time | -193.2% | at low |
Rectitude Holdings Ltd. Cash From Financing History
Date | Annual | Quarterly | TTM |
---|---|---|---|
Mar 2024 | -$2.18 M(+30.1%) | - | - |
Date | Annual | Quarterly | TTM |
---|---|---|---|
Mar 2023 | -$1.68 M(+125.3%) | - | - |
Mar 2022 | -$744.10 K | - | - |
FAQ
- What is Rectitude Holdings Ltd. annual cash flow from financing activities?
- What is the all time high annual CFF for Rectitude Holdings Ltd.?
- What is Rectitude Holdings Ltd. annual CFF year-on-year change?
What is Rectitude Holdings Ltd. annual cash flow from financing activities?
The current annual CFF of RECT is -$2.18 M
What is the all time high annual CFF for Rectitude Holdings Ltd.?
Rectitude Holdings Ltd. all-time high annual cash flow from financing activities is -$744.10 K
What is Rectitude Holdings Ltd. annual CFF year-on-year change?
Over the past year, RECT annual cash flow from financing activities has changed by -$504.80 K (-30.11%)