Creative Global Technology Holdings Cash Flow Statement (2024-2025) | CGTL

Cash Flow Statement Sep2024 Dec2024 Jun2025 Sep2025
Operating Activities
Net Income 2,257.76B-14975.11B
Change in Working Capital
Change in Accured Expenses 0.00B0.00B
Change in Taxes 0.00B0.00B
Financing Activities
Change in Capital Stock
Shares Issued 0.02B