RMG Ltd. Reports Consolidated Cash Flow Results for the Fourth Quarter and Full Year Ended June 30, 2015
For the full year, the company reported net operating cash flows used were AUD 3,749,000.
1st Jan change | Capi. | |
---|---|---|
-11.70% | 150B | |
-6.26% | 119B | |
+1.83% | 74.34B | |
+11.36% | 47.91B | |
-4.84% | 45.45B | |
+27.55% | 38.79B | |
+116.04% | 34.78B | |
+26.57% | 26.97B | |
+74.05% | 20.02B |