Bluemount Holdings Cash Flow Statement (2024-2025) | BMHL

Cash Flow Statement Mar2024 Mar2025
Financing Activities
Other financing activities 211.00
Debt Issuance and Repayment
Current Debt 0.17M0.23M
Net Debt Issuances and Repayments 0.17M0.23M
Misc.
Beginning Cash Balance 1.14M0.78M