TextMagic ASTT

TextMagic AS

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A3DHQU fundamentals

An in-depth look to TextMagic AS operating, investing, and financing activities

A3DHQU free cash flow for H2 24 is 2.83 M EUR. For 2024, A3DHQU free cash flow was 6.08 M EUR and operating cash flow was 6.22 M EUR.

H1 '22
H2 '22
H1 '23
H2 '23
H1 '24
H2 '24
‪‪−6.00 M‬‬
‪‪−3.00 M‬‬
‪0.00‬
‪‪3.00 M‬‬
‪‪6.00 M‬‬
Cash from operating activities
Cash from investing activities
Cash from financing activities
Currency: EUR
H1 '22
Jun 2022
H2 '22
Dec 2022
H1 '23
Jun 2023
H2 '23
Dec 2023
H1 '24
Jun 2024
H2 '24
Dec 2024
TTM
‪‪2.71 M‬‬
−3.77%
‪‪3.60 M‬‬
−5.86%
‪‪3.28 M‬‬
+20.93%
‪‪2.94 M‬‬
−18.26%
‪‪6.22 M‬‬
‪‪−3.75 M‬‬
−192.67%
‪‪−5.27 M‬‬
−139.89%
‪‪−2.96 M‬‬
+21.30%
‪‪1.35 M‬‬
‪‪−1.60 M‬‬
‪‪−2.55 M‬‬
‪0.00‬
‪0.00‬
+100.00%
‪‪−5.07 M‬‬
‪‪−5.07 M‬‬
Free cash flowYoY growth
‪‪2.70 M‬‬
−0.99%
‪‪3.60 M‬‬
−3.41%
‪‪3.25 M‬‬
+20.36%
‪‪2.83 M‬‬
−21.22%
‪‪6.08 M‬‬