2011 annual financial data
TRX 2011 Operating cash flow
Direct answer
Operating cash flow was -3,273,221 CAD.
Operating income was -6,422,328 CAD and net income was -11,374,176 CAD.
Operating cash flow was -3,273,221 CAD.
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Verified data
- Revenue
- 0 CAD
- Operating income
- -6,422,328 CAD
- Net income
- -11,374,176 CAD
- Operating cash flow
- -3,273,221 CAD