2021 annual financial data
TRX 2021 Operating cash flow margin
TRX 2021 operating cash flow margin with verified reported values.
Direct answer
Operating cash flow margin was Not calculable.
Operating income was -12,196,132 CAD and net income was -5,030,733 CAD.
Operating cash flow was -9,444,559 CAD.
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Verified data
- Revenue
- 0 CAD
- Operating income
- -12,196,132 CAD
- Net income
- -5,030,733 CAD
- Operating cash flow
- -9,444,559 CAD