Advertisement
Screener

RETALIX LTD Operating Cash Flow

RETALIX LTD Operating Cash Flow

RETALIX LTD reported Operating Cash Flow of $20.11 million for the 12-month period ending 2011-12-31, per its 20-F filed 2012-04-05.

Discontinued › Cash Flow › Operating Activities

us-gaap:NetCashProvidedByUsedInOperatingActivities · last filed 2012-04-05

Period endNet Cash Provided by (Used in) Operating Activities 12 month
2011-12-31$20.11M
20-F · filed 2012-04-05
2010-12-31$33.72M
20-F · filed 2012-04-05
2009-12-31$39.41M
20-F · filed 2012-04-05