Blue Hat Interactive Entertainment Technology Cash Flow Statement (2018-2025) | BHAT

Cash Flow Statement Dec2018 Jun2019 Dec2019 Jun2020 Dec2020 Jun2021 Jun2022 Dec2022 Jun2023 Dec2023 Jun2024 Dec2024 Jun2025
Operating Activities
Net Income 254.58B0.00B190.00B0.00B-0.00B-0.00B
Gains from Sales and Divestitures 771.00
Change in Working Capital
Change in Accured Expenses 0.00B0.00B0.00B0.00B0.01B0.01B0.00B0.01B0.00B0.00B
Financing Activities
Other financing activities 0.01B0.02B0.02B0.02B0.04B0.05B0.09B0.09B0.09B0.14B
Additional items
Exchange Rate Effect 0.00B0.00B