Golden Matrix Group, Inc.GMGICash flow

Market cap
$94.19M
P/E ratio
2012/072013/072015/072016/072017/072018/072019/072021/012022/102023/102024/12
Depreciation & amortization-1,108---------
Stock-based compensation-------232-
Cash from operations -224,869-256,805-2,010,6361,296-15,129302,716123224
Capital expenditures-1,973--------12,465-7,164,733
Cash from investing -6,973-206,867-----192-4,405,409-95,961-37,434,035
Payments for dividends ----------769,534
Repurchases of common stock---------32,322-
Cash from financing 1,068,9621,310,3162,010,0001,00038,000118,698-167,420832,000-32,32228
Free cash flow--------
FCF margin (%)---------