Rectitude Holdings Ltd (RECT) Cash From Financing

Annual CFF

-$2.18 M
-$504.80 K-30.11%

March 31, 2024


Summary


Performance

RECT Cash From Financing Chart

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Highlights

High & Low

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OtherRECTcash flowmetrics:

Cash From Financing Formula

CFF = Cash Inflows from Financing Activities − Cash Outflows from Financing Activities

RECT Cash From Financing Trends

PeriodPeriodAnnualAnnualQuarterlyQuarterlyTTMTTM
1 y1 year-30.1%--
3 y3 years-193.2%--
5 y5 years-193.2%--

RECT Cash From Financing Highs & Lows

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-year-193.2%at low
5 y5-year-193.2%at low
alltimeall time-193.2%at low

Rectitude Holdings Ltd Cash From Financing History

DateAnnualQuarterlyTTM
Mar 2024
-$2.18 M(+30.1%)
-
-
DateAnnualQuarterlyTTM
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%)