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How Did Fluence Corporation Boost Cash Reserves to US$12.7M in Q2 2025?
9:11am on Thursday 31st of July, 2025 AEST
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How Did Fluence Corporation Boost Cash Reserves to US$12.7M in Q2 2025?
9:11am on Thursday 31st of July, 2025 AEST
Key Points
Positive net cash from operating activities of US$5.1 million
Cash and cash equivalents increased to US$12.7 million
Investing activities used US$0.3 million, mainly on property and equipment
Financing activities used US$0.8 million, including loan repayments
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