Wetour Robotics Ltd (WETO) › Operating Cash FlowWetour Robotics Ltd (WETO): Operating Cash FlowAnnual figures by period end, from SEC filings.-58.73M CNYYear ended 2025-06-3055.0K CNY2023-06-30: -4.76M CNY2024-06-30: 55.0K CNY2025-06-30: -58.73M CNY-58.73M CNY2023-06-30 Operating Cash Flow (CNY) 2025-06-30Period endedOperating Cash FlowChange YoYSource filing2025-06-30-58.73M CNYn/m2025-10-30, From 2024-07-012024-06-3055.0K CNYn/m2025-10-30, From 2023-07-012023-06-30-4.76M CNYn/a2025-10-30, From 2022-07-01Other metrics: RevenueCost of RevenueGross ProfitR&D ExpenseOperating IncomeDepreciation & AmortizationEBITDANet IncomeEPS (Diluted)Total AssetsTotal LiabilitiesLong-Term DebtShareholders' EquityCash & EquivalentsCapital ExpendituresFree Cash FlowShares OutstandingWeighted Average Diluted SharesEPS (Basic)