Suda Pharmaceuticals Ltd Announces Cash Flow Results for the Fourth Quarter and Year to Date Ended June 30, 2018; Provides Cash Flow Guidance for the First Quarter of 2019
activities was AUD 738,000.
For the year, the company reported net cash used in operating activities was AUD 2,796,000. Payments to acquire property, plant and equipment was AUD 68,000.
Total estimated cash outflows for the first quarter of 2019 is AUD 740,000.