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SANGRIX INC. (BTOG) Operating Cash Flow

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SANGRIX INC. Operating Cash Flow

SANGRIX INC. (BTOG) reported Operating Cash Flow of -$2.92 million for the 12-month period ending 2026-06-30, per its 20-F filed 2026-09-18.

Financial Statements › Cash Flow › Operating Activities

us-gaap:NetCashProvidedByUsedInOperatingActivities · last filed 2026-09-18

Period endNet Cash Provided by (Used in) Operating Activities 6 monthNet Cash Provided by (Used in) Operating Activities 12 monthNet Cash Provided by (Used in) Operating Activities 12 month as first filed
2026-06-30-$2.92M
20-F · filed 2026-09-18
2025-12-31-$2.09M
6-K · filed 2026-06-30
2025-06-30-$2.29M
20-F · filed 2026-09-18
2024-12-31-$2.93M
6-K · filed 2026-06-30
2024-06-30-$7.93M
20-F · filed 2026-09-18
2023-12-31-$4.62M
6-K · filed 2025-04-07
2023-06-30-$6.76M
20-F · filed 2025-10-31
2022-12-31-$3.17M
6-K · filed 2024-04-26
2022-06-30-$14.24M
20-F · filed 2024-12-26
-$14.29M
20-F · filed 2022-08-25
2021-06-30-$10.39M
20-F · filed 2023-10-31
-$10.54M
20-F · filed 2021-11-15
2020-06-30-$5.91M
20-F · filed 2022-08-25
2019-06-30-$5.27M
20-F · filed 2021-11-15
2018-06-30-$3.60M
20-F · filed 2020-11-17
2017-06-30-$2.51M
20-F · filed 2019-11-06