Reitar Logtech Holdings Ltd (RITRF): Operating Cash Flow

Annual figures by period end, from SEC filings.

-75.17M HKD
Year ended 2026-03-31
49.77M HKD2022-03-31: 2.93M HKD2023-03-31: 49.77M HKD2024-03-31: -18.74M HKD2025-03-31: -62.35M HKD2026-03-31: -75.17M HKD-75.17M HKD
2022-03-31 Operating Cash Flow (HKD) 2026-03-31
Period endedOperating Cash FlowChange YoYSource filing
2026-03-31-75.17M HKDn/m2026-08-17, From 2025-04-01
2025-03-31-62.35M HKDn/m2026-08-17, From 2024-04-01
2024-03-31-18.74M HKDn/m2026-08-17, From 2023-04-01
2023-03-3149.77M HKDn/m2025-08-15, From 2022-04-01
2022-03-312.93M HKDn/a2024-07-31, From 2021-04-01