Right On Brands, Inc. (RTON): Operating Cash Flow

Annual figures by period end, from SEC filings.

Not updated since 2023-03-31. No annual report in US GAAP has been filed since. Companies that switch to IFRS reporting, as many foreign filers do, or stop filing are not updated here.

-$66.1K
Year ended 2023-03-31
2014-03-31: -$52.3K2015-03-31: -$16.5K2016-03-31: -$24.7K2017-03-31: -$172.3K2018-03-31: -$524.8K2019-03-31: -$873.6K2020-03-31: -$683.0K2021-03-31: -$203.0K2022-03-31: -$150.7K2023-03-31: -$66.1K-$66.1K
2014-03-31 Operating Cash Flow (USD) 2023-03-31
Period endedOperating Cash FlowChange YoYSource filing
2023-03-31-$66.1Kn/m2023-08-16, From 2022-04-01
2022-03-31-$150.7Kn/m2023-08-16, From 2021-04-01
2021-03-31-$203.0Kn/m2022-07-11, From 2020-04-01
2020-03-31-$683.0Kn/m2021-08-04, From 2019-04-01
2019-03-31-$873.6Kn/m2021-04-01, From 2018-04-01
2018-03-31-$524.8Kn/m2019-07-30, From 2017-04-01
2017-03-31-$172.3Kn/m2018-08-13, From 2016-04-01
2016-03-31-$24.7Kn/m2017-07-14, From 2015-04-01
2015-03-31-$16.5Kn/m2016-07-22, From 2014-04-01
2014-03-31-$52.3Kn/a2015-07-13, From 2013-04-01