Free Cash Flow: A measure of financial performance calculated as operating cash flow minus capital expenditures. Calculated as: Cash Flow from Operations + Net Property, Plant & Equipment Exp (a negative number)
Rectitude Holdings Ltd. (RECT) had Free Cash Flow of $-1.80M for the most recently reported fiscal year, ending 2026-03-31.
| Income Statement Financials | |
$39.74M |
|
$2.78M |
|
$26.96M |
|
$12.78M |
|
$36.43M |
|
$3.31M |
|
$0.38M |
|
$3.68M |
|
$3.68M |
|
$2.78M |
|
$2.78M |
|
$2.78M |
|
$2.78M |
|
$3.31M |
|
$3.83M |
|
14.50M |
|
14.50M |
|
$0.19 |
|
$0.19 |
|
| Balance Sheet Financials | |
$26.67M |
|
$5.82M |
|
$11.02M |
|
$37.69M |
|
$10.55M |
|
$3.21M |
|
$5.40M |
|
$15.95M |
|
$21.74M |
|
$21.74M |
|
$21.74M |
|
14.50M |
|
| Cash Flow Statement Financials | |
$-1.67M |
|
$1.78M |
|
$-0.57M |
|
$5.15M |
|
$4.69M |
|
$-0.46M |
|
-- |
|
-- |
|
-- |
|
| Fundamental Metrics & Ratios | |
2.53 |
|
-- |
|
-- |
|
0.13 |
|
0.17 |
|
32.17% |
|
8.32% |
|
8.32% |
|
9.65% |
|
9.27% |
|
7.01% |
|
|
Free Cash Flow |
$-1.80M |
-- |
|
-- |
|
-- |
|
1.05 |
|
4.29 |
|
2.98 |
|
122.44 |
|
12.80% |
|
12.80% |
|
7.39% |
|
11.16% |
|
$1.50 |
|
$-0.12 |
|
$-0.12 |
|