SU Group Holdings Cash Flow Statement (2023-2025) | SUGP

Cash Flow Statement Sep2023 Mar2024 Sep2024 Mar2025 Sep2025
Operating Activities
Change in Working Capital
Change in Inventory 5,229.72B5,747.42B0.01B0.00B0.00B
Change in Taxes 0.00B
Other Working Capital Changes 0.00B4,800.88B0.00B0.00B0.00B
Financing Activities
Other financing activities 0.00B5,071.97B0.01B0.01B0.01B