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

Cash Flow Statement Dec2018 Jun2019 Dec2019 Jun2020 Dec2020 Jun2021 Jun2022 Dec2022 Jun2023 Dec2023 Jun2024 Dec2024 Jun2025
Operating Activities
Net Income (Quarter) 254.58B0.00B190.00B0.00B-0.00B-0.00B
Gains from Sales and Divestitures (Quarter) 771.00
Change in Working Capital
Change in Account Payables (Quarter) 0.00B0.00B0.00B0.00B0.00B0.00B0.00B0.00B0.00B
Change in Accured Expenses (Quarter) 0.00B0.00B0.00B0.00B0.01B0.01B0.00B0.01B0.00B0.00B
Additional items
Exchange Rate Effect (Quarter) 0.00B0.00B