Computer Modelling Group Ltd. (T.CMG)

Last Closing Price: --

Beginning Cash (Annual)

Beginning Cash: The amount of cash reported by the company on its previous statement.

Computer Modelling Group Ltd. (T.CMG) had Beginning Cash of 45.32M for the most recently reported fiscal year, ending 2025-03-31.

Figures for fiscal year ending 2025-03-31
Income Statement Financials
--
16.12M
--
--
--
24.53M
--
23.62M
23.62M
16.12M
16.12M
16.12M
16.12M
24.53M
30.61M
82.55M
83.34M
0.19
0.19
Balance Sheet Financials
--
--
--
147.09M
--
--
--
85.37M
61.71M
7.28M
61.71M
82.54M
Cash Flow Statement Financials
21.49M
-27.27M
-9.82M
Beginning Cash
45.32M
31.52M
-13.79M
-0.93M
-11.76M
--
Fundamental Metrics & Ratios
1.32
--
--
0.30
0.45
80.73%
26.38%
26.38%
32.92%
25.40%
17.33%
20.47M
--
--
--
0.63
--
3.12
116.90
26.12%
221.32%
10.96%
18.41%
1.04
0.25
0.26