2021 second Quarter Statement of Cash Flows

Summary of Report
Net Cash from Operating Activities
690,276,919.45
Net Cash from Investing Activities
389,178,034.71
Net Cash from Financing Activities
0.00
Posting Details
Year:
2021
Date Posted:
November 24, 2021
Loader Loading…
EAD Logo Taking too long?

Reload Reload document
| Open Open in new tab
Note: For concerns and clarifications, please contact our online chat support.