middle.news
Rewardle Holdings Generates $3.98M Operating Cash Flow Amid $2.33M Investment Spend
5:50pm on Sunday 1st of June, 2025 AEST
•
Technology
Read Story
Rewardle Holdings Generates $3.98M Operating Cash Flow Amid $2.33M Investment Spend
5:50pm on Sunday 1st of June, 2025 AEST
Key Points
Net operating cash inflow of $3.98 million for the quarter
Investing activities resulted in $2.33 million cash outflow
Cash and cash equivalents stood at $1.23 million at quarter-end
No equity or debt financing raised during the quarter
Read Story
middle.
Tap to Read
Tap the card to read the full analysis
about
RXH
OPEN ARTICLE