Wintergreen Acquisition Cash Flow Statement (2025) | WTGUU

Cash Flow Statement Jun2025 Sep2025 Dec2025
Operating Activities
Net Income (Quarter) 113,309.00566,442.00383,809.00
Cash from Operations (Quarter) -10527.00-114640.00
Change in Working Capital
Change in Account Payables (Quarter) 30,667.0030,667.00
Change in Accured Expenses (Quarter) 18,904.0018,904.00
Other Working Capital Changes (Quarter) -2790.00-1789.00
Financing Activities
Other financing activities (Quarter) -1.00
Cash from Financing Activities (Quarter) 1.00
Additional items
Change in Cash (Quarter) -10527.00-114639.00
Free Cash Flow (Quarter) -10527.00-114640.00
Net Cash Flow (Quarter) -10527.00-114639.00