Pacific Ventures Group, Inc. (PACV) Cash flow

Market cap
$362.61
P/E ratio
2011/122012/122013/122014/122015/122016/122017/122018/122019/122021/122022/12
Depreciation & amortization---------567,042498,739
Cash from operations -9,324-26,503-18,799-12,909-682,851-534,708-512,034-1,597,563-2,620,665-2,334,760-4,007,659
Capital expenditures--------141,413-1,384,382-55,498-
Cash from investing ----233,289---1,101,839-4,202,000-55,498172,766
Cash from financing 57,40084,235102,65812,902-30,024559,782486,8203724
Free cash flow--------
FCF margin (%)--------
AI Chat