Mountain Lake Acquisition Cash Flow Statement (2025-2026) | MLACR

Cash Flow Statement Mar2025 Jun2025 Sep2025 Dec2025 Mar2026
Operating Activities
Net Income (Quarter) 2.02M2.20M2.13M1.93M1.72M
Cash from Operations (Quarter) -0.16M-0.06M-0.32M-0.39M-0.39M
Change in Working Capital
Change in Accured Expenses (Quarter) 0.13M0.11M-0.25M0.29M0.05M
Misc.
Change in Cash (Quarter) -0.16M-0.06M-0.32M-0.39M-0.39M
Free Cash Flow (Quarter) -0.16M-0.06M-0.32M-0.39M-0.39M
Net Cash Flow (Quarter) -0.16M-0.06M-0.32M-0.39M-0.39M