Everbright Digital Holding Cash Flow Statement (2024-2025) | EDHL

Cash Flow Statement Dec2024 Jun2025
Operating Activities
Change in Working Capital
Change in Receivables (Quarter) 914,092.00670,251.00
Change in Accured Expenses (Quarter) 185,697.00103,680.00
Change in Taxes (Quarter) 303,687.00102,155.00