Sabien Technology Group PLC (LSE:SNT) - Share price

Stock Report

Sabien Technology Group PLC SNT

Cash Flow
Fiscal Year Ends30/06/201730/06/201830/06/201930/06/202030/06/2021
Operating Cash Flow-1.39-0.430.12-0.82-0.87
Investing Activities1.150.380.000.00-0.13
Net Outflow/Inflow-0.21-0.050.11-0.82-1.00
Net Change in Cash-0.21-0.050.760.040.62
Foreign Exchange Adjustments-----
Opening Balance0.240.03-0.020.740.78
Closing Balance0.03-0.020.740.781.40
Investment Ratios
Cash Flow PS p-571.07-98.137.29-0.06-10.57
CAPEX PS p-0.42-4.84-0.250.00-0.40

GBP in Millions except per share data.

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