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MMEX Stock Annual Cash Flow. Download in Excel

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Financials

MMEX Cash Flow

Annual
Invalid dateApr-16Apr-17Apr-18Apr-19Apr-20Apr-21Apr-22Apr-23Apr-24
(Increase) Decrease in other current assets-5000.0-33949.015804.0-14748.0-9440.0
(Increase) Decrease in payables-12985.049201.0104448.0-1880.0255691.0181916.0-272341.0504014.0877328.0
Amortization of intangibles218354.079011.0
CapitalExpenditureReported303120.0260812.010540.0677905.0
Cash at beginning of period141.01030.054513.0304173.055188.066830.0330449.0136867.010363.0
Cash at end of period1030.054513.013 M55188.066830.0330449.0330449.0136867.010363.0
Cash flow-74111.0-281409.09 M-2 M-734518.02 M-3 M-682004.0-492992.0
CashFlowFromContinuingInvestingActivities-303120.0-260812.0157360.0150000.0-677905.0
ChangeInAccountPayable-12985.049201.0127890.0-1880.0255691.0181916.0-272341.0504014.0877328.0
ChangeInAccruedExpense291386.0142952.0118804.0145375.0375732.0756839.080497.0198488.066914.0
ChangeInIncomeTaxPayable104448.039600.0
ChangeInInterestPayable142952.0
ChangeInPayablesAndAccruedExpense278401.0192153.0104448.0143495.0631423.0938755.0-191844.0702502.0944242.0
ChangeInPrepaidAssets10000.0-5000.0-9440.0-23333.0-21000.0
ChangeInTaxPayable104448.039600.0
ChangeInWorkingCapital288401.0192153.099448.0109546.0647227.0924007.0-201284.0679169.0923242.0
Current deferred income taxes42217.0
Deferred income taxes42217.0
Depreciation1947.0386.01851.030914.034663.034875.035877.036394.036394.0
Depreciation unreconciled386386.093884.02 M2 M1 M253229.0114888.089927.0158753.0
DepreciationAndAmortization386386.093884.02 M2 M34663.034875.035877.089927.0158753.0
FinancingCashFlow75000.0334892.05 M2 M756700.01 M4 M555500.0483527.0
Free cash flow-74111.0-281409.08 M-2 M-745058.0-805683.0-4 M-682004.0-492992.0
GainLossOnInvestmentSecurities395619.06 M5 M128860.01 M23 M-3 M
InterestPaidSupplementalData104990.010402.014784.0164135.03310.0145655.0
Issuance of capital stock75000.076369.0284371.0116252.041209.0
Issuance of debt167900.0163500.0-35548.015000.0489515.0
IssuanceOfCapitalStock75000.076369.0284371.0116252.041209.0
IssuanceOfDebt208782.02 M2 M265300.0899302.0-57379.0526291.0433527.0
Net cash from financing activities75000.0334892.05 M2 M588800.01 M4 M555500.0483527.0
Net cash from investing activities-303120.0-260812.0-10540.0-677905.0
Net cash from operating activities-74111.0-281409.09 M-2 M-734518.0-805683.0-3 M-682004.0-492992.0
Net change in cash & cash equivalents889.053483.013 M-248985.011642.0263619.0-193582.0-126504.0-9465.0
Net income from continuing operations-3 M-7 M1 M-4 M-4 M25 M-228730.02 M2 M
NetCommonStockIssuance75000.076369.0284371.0116252.041209.0
NetInvestmentPropertiesPurchaseAndSale167900.0150000.0
NetInvestmentPurchaseAndSale167900.0150000.0
NetIssuancePaymentsOfDebt208782.02 M2 M265300.0899302.0-57379.0526291.0433527.0
NetLongTermDebtIssuance208782.02 M2 M265300.0735802.0-21831.0511291.0-55988.0
NetPPEPurchaseAndSale-303120.0-260812.0-10540.0-677905.0
NetPreferredStockIssuance2 M
Operating (gains) losses2 M6 M5 M114621.01 M-605010.0-3 M-66413.0819346.0
Other financing charges net75000.049741.02 M2 M323500.0170000.0331349.050000.0
Other non-cash items13815.0299921.01 M167842.0351129.0-23 M-78303.0548126.028200.0
PreferredStockIssuance2 M
ProceedsFromIssuanceOfWarrants3 M
Purchase of property plant & equipment-303120.0-260812.0-10540.0-677905.0
Purchase of short term investments208782.02 M2 M265300.0775000.0233500.0552500.0110000.0
PurchaseOfPPE-303120.0-260812.0-10540.0-677905.0
Repayment of debt-203000.0-100000.0-39198.0-255331.0-41209.0-165988.0
RepaymentOfDebt-203000.0-100000.0-39198.0-643379.0-41209.0-179673.0
Revenue per share384439.093498.02 M2 M1 M218354.079011.053533.0122359.0
Sale of Float term investments167900.0150000.0
SaleOfInvestment167900.0150000.0
SaleOfPPE-10540.0
ShortTermDebtIssuance167900.0163500.0352500.015000.0503200.0
ShortTermDebtPayments-388048.0-13685.0
StockBasedCompensation13815.0299921.0321443.091930.023984.034000.0495000.028200.0
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