RemSleep Holdings (RMSL) Cash from Financing Activities (2022 - 2025)
RemSleep Holdings' Cash from Financing Activities history spans 7 years, with the latest figure at $50000.0 for Q3 2025.
- For Q3 2025, Cash from Financing Activities fell 72.53% year-over-year to $50000.0; the TTM value through Sep 2025 reached $379000.0, down 11.24%, while the annual FY2024 figure was $552000.0, 400.11% up from the prior year.
- Cash from Financing Activities for Q3 2025 was $50000.0 at RemSleep Holdings, roughly flat from $50000.0 in the prior quarter.
- Across five years, Cash from Financing Activities topped out at $855000.0 in Q1 2022 and bottomed at -$104740.0 in Q1 2023.
- The 4-year median for Cash from Financing Activities is $50000.0 (2025), against an average of $110523.8.
- The largest annual shift saw Cash from Financing Activities plummeted 133.44% in 2023 before it skyrocketed 251.53% in 2024.
- A 4-year view of Cash from Financing Activities shows it stood at $3217.0 in 2022, then plummeted by 2561.64% to -$79191.0 in 2023, then soared by 257.85% to $125000.0 in 2024, then plummeted by 60.0% to $50000.0 in 2025.
- Per Business Quant, the three most recent readings for RMSL's Cash from Financing Activities are $50000.0 (Q3 2025), $50000.0 (Q2 2025), and $154000.0 (Q1 2025).