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Cash Flow
PROTHENA CORP PUBLIC LTD CO (PRTA)
PROTHENA CORP PUBLIC LTD CO (PRTA)
source: myfinsight.com
Net income (loss)
$32,721K
Share-based compensation
$6,915K
Reduction in the carrying
amount of right-of-use...
$734K
Restructuring liability
$480K
Depreciation
$184K
Net cash provided by
(used in) operating...
$28,877K
Canceled cashflow
$12,157K
Net increase
(decrease) in cash, cash...
$21,931K
Canceled cashflow
$6,946K
Reduction in
restructuring liability -...
$5,198K
Prepaid and other assets
$2,984K
Accounts payable,
accruals and other...
-$2,222K
Deferred revenue
-$1,034K
Operating lease
liabilities
-$719K
Net cash used in
financing activities
-$6,946K
Repurchase of ordinary
shares
$6,946K
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