Mind Gym plc

MIND.L · LSE
Analyze with AI
3/31/2025
3/31/2024
3/31/2023
3/31/2022
Operating Activities
Net Income-£8,189-£10,888£2,935£1,602
Dep. & Amort.£2,518£2,788£2,211£1,577
Deferred Tax£0£0-£737-£2,896
Stock-Based Comp.-£18-£7-£73£341
Change in WC£506-£982-£828-£405
Other Non-Cash£7,114£8,424£119£133
Operating Cash Flow£1,931-£665£3,627£352
Investing Activities
PP&E Inv.-£42-£82-£5,128-£6,137
Net Acquisitions£0£0£0£0
Inv. Purchases£0£0£0£0
Inv. Sales/Matur.£0£0£0£0
Other Inv. Act.-£1,457-£4,121£54£12
Investing Cash Flow-£1,499-£4,203-£5,074-£6,125
Financing Activities
Debt Repay.£0£0£0£0
Stock Issued£16£16£29£56
Stock Repurch.£0£0£0£0
Dividends Paid£0£0£0£0
Other Fin. Act.-£1,121-£1,276-£1,350-£1,253
Financing Cash Flow-£1,105-£1,260-£1,321-£1,197
Forex Effect-£126-£90£334£158
Net Chg. in Cash-£799-£6,218-£2,434-£6,812
Supplemental Information
Beg. Cash£1,369£7,587£10,021£16,833
End Cash£570£1,369£7,587£10,021
Free Cash Flow£431-£4,898-£1,501-£5,785
Mind Gym plc (MIND.L) Financial Statements & Key Stats | AlphaPilot