Cash Flow from Financial Activities: The net amount of cash transactions used in funding activities.
Cyteir Therapeutics, Inc. (CYTT) had Cash Flow from Financial Activities of $0.69M for the most recently reported fiscal quarter, ending 2023-09-30.
| Income Statement Financials | |
| -- | |
| $-3.53M | |
| -- | |
| -- | |
| $5.17M | |
| $-5.17M | |
| $1.64M | |
| $-3.53M | |
| $-3.53M | |
| $-3.53M | |
| $-3.53M | |
| $-3.53M | |
| $-3.53M | |
| $-5.17M | |
| $-5.06M | |
| 36.03M | |
| 36.03M | |
| $-0.10 | |
| $-0.10 | |
| Balance Sheet Financials | |
| $130.64M | |
| $0.10M | |
| $0.37M | |
| $131.01M | |
| $5.97M | |
| -- | |
| $0.01M | |
| $5.98M | |
| $125.03M | |
| $125.03M | |
| $125.03M | |
| 36.08M | |
| Cash Flow Statement Financials | |
| $-18.87M | |
| $0.30M | |
| Cash Flow from Financial Activities | $0.69M | 
| $147.38M | |
| $129.50M | |
| $-17.87M | |
| $2.42M | |
| -- | |
| -- | |
| Fundamental Metrics & Ratios | |
| 21.89 | |
| -- | |
| -- | |
| -- | |
| -- | |
| -- | |
| -- | |
| -- | |
| -- | |
| -- | |
| -- | |
| $-18.57M | |
| -- | |
| -- | |
| -- | |
| -- | |
| -- | |
| -- | |
| -- | |
| -2.82% | |
| -2.82% | |
| -2.70% | |
| -2.82% | |
| $3.46 | |
| $-0.52 | |
| $-0.52 | |