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Free Cash Flow

Taoping Inc.

Taoping Inc. (TAOP)

3.61 €
-0.33 (-8.38%)

Year
A/P
2013
Actual
2014
Actual
2015
Actual
2016
Actual
2017
Actual
2018
Actual
2019
Projected
2020
Projected
2021
Projected
2022
Projected
2023
Projected
Revenue 76,145.3868,157.7310,285.0024,905.1324,905.1320,579.1122,089.6223,711.0025,451.3827,319.5129,324.77
Revenue (%)
Operating Cash Flow -11,376.12-12,629.63-115.19-2,821.754,540.212,473.61-576.54-618.86-664.28-713.04-765.38
Operating Cash Flow (%)
Capital Expenditure -29,978.44-824.71-826.91-298.86-7.47--1,835.65-1,970.38-2,115.01-2,270.25-2,436.89
Capital Expenditure (%)
Free Cash Flow -41,354.56-13,454.34-942.11-3,120.614,532.732,473.61-2,412.19-2,589.24-2,779.29-2,983.29-3,202.26

FCF Unlevered from cash flow statement