PROFOUND MED CP (T.PRN)

Last Closing Price: --

Cash Flow from Financial Activities (Annual)

Cash Flow from Financial Activities: The net amount of cash transactions used in funding activities.

PROFOUND MED CP (T.PRN) had Cash Flow from Financial Activities of 57.50M for the most recently reported fiscal year, ending 2025-12-31.

Figures for fiscal year ending 2025-12-31
Income Statement Financials
--
-59.50M
--
--
--
-57.66M
--
-59.15M
-59.15M
-59.50M
-59.50M
-59.50M
-59.50M
-57.66M
-56.88M
30.23M
30.23M
-1.97
-1.97
Balance Sheet Financials
--
--
--
108.29M
--
--
--
15.43M
92.85M
92.66M
92.85M
36.29M
Cash Flow Statement Financials
-53.40M
-0.34M
Cash Flow from Financial Activities
57.50M
76.75M
83.47M
6.72M
7.67M
--
--
Fundamental Metrics & Ratios
12.52
--
--
0.06
0.07
70.77%
-256.27%
-256.27%
-252.79%
-262.88%
-264.44%
-53.65M
--
--
--
0.21
0.57
2.24
163.25
-64.08%
-64.21%
-54.95%
-60.01%
2.56
-1.77
-1.77