Virtual Mind Holding Co Ltd
HKEX:1520
Cash Flow Statement
Cash Flow Statement
Virtual Mind Holding Co Ltd
| Dec-2015 | Jun-2017 | Dec-2017 | Jun-2018 | Dec-2018 | Jun-2019 | Dec-2019 | Jun-2020 | Dec-2020 | Jun-2021 | Dec-2021 | Jun-2022 | Dec-2022 | Jun-2023 | Dec-2023 | Jun-2024 | Dec-2024 | Jun-2025 | ||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Operating Cash Flow | |||||||||||||||||||
| Net Income |
19
|
0
|
(14)
|
0
|
(62)
|
0
|
(71)
|
0
|
(67)
|
0
|
(46)
|
0
|
(58)
|
0
|
(95)
|
0
|
(76)
|
0
|
|
| Depreciation & Amortization |
2
|
0
|
3
|
0
|
5
|
0
|
14
|
0
|
8
|
0
|
7
|
0
|
5
|
0
|
4
|
0
|
4
|
0
|
|
| Stock-Based Compensation |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
3
|
0
|
6
|
0
|
17
|
0
|
1
|
0
|
|
| Other Non-Cash Items |
(0)
|
0
|
(0)
|
0
|
5
|
0
|
39
|
0
|
42
|
0
|
29
|
0
|
8
|
0
|
54
|
0
|
43
|
0
|
|
| Cash Taxes Paid |
5
|
0
|
4
|
0
|
(2)
|
0
|
4
|
0
|
1
|
0
|
0
|
0
|
0
|
0
|
7
|
0
|
1
|
0
|
|
| Cash Interest Paid |
0
|
0
|
1
|
0
|
0
|
0
|
1
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
2
|
0
|
3
|
0
|
|
| Change in Working Capital |
(25)
|
2
|
(26)
|
(79)
|
38
|
(17)
|
(23)
|
(27)
|
(4)
|
(48)
|
(49)
|
(30)
|
(36)
|
(84)
|
10
|
(49)
|
(48)
|
(54)
|
|
| Cash from Operating Activities |
(4)
N/A
|
2
N/A
|
(37)
N/A
|
(79)
-114%
|
(14)
+82%
|
(17)
-24%
|
(42)
-143%
|
(27)
+37%
|
(21)
+22%
|
(48)
-130%
|
(59)
-23%
|
(30)
+49%
|
(81)
-168%
|
(84)
-3%
|
(28)
+67%
|
(49)
-76%
|
(78)
-59%
|
(54)
+31%
|
|
| Investing Cash Flow | |||||||||||||||||||
| Capital Expenditures |
(1)
|
0
|
(17)
|
0
|
(1)
|
0
|
(0)
|
0
|
0
|
0
|
(1)
|
0
|
(1)
|
0
|
(1)
|
0
|
(1)
|
0
|
|
| Other Items |
(4)
|
(2)
|
(3)
|
(13)
|
3
|
(2)
|
1
|
4
|
4
|
(13)
|
0
|
9
|
75
|
78
|
0
|
(17)
|
0
|
8
|
|
| Cash from Investing Activities |
(5)
N/A
|
(2)
+50%
|
(20)
-752%
|
(13)
+36%
|
2
N/A
|
(2)
N/A
|
1
N/A
|
4
+405%
|
4
+12%
|
(13)
N/A
|
(1)
+94%
|
9
N/A
|
74
+720%
|
78
+5%
|
(1)
N/A
|
(17)
-1 693%
|
(1)
+93%
|
8
N/A
|
|
| Financing Cash Flow | |||||||||||||||||||
| Net Issuance of Common Stock |
0
|
0
|
205
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
15
|
0
|
52
|
0
|
|
| Net Issuance of Debt |
(2)
|
0
|
(0)
|
0
|
(0)
|
0
|
(9)
|
0
|
(6)
|
0
|
(1)
|
0
|
46
|
0
|
(3)
|
0
|
5
|
0
|
|
| Other |
(0)
|
175
|
(9)
|
20
|
(0)
|
(3)
|
(1)
|
(9)
|
(0)
|
1
|
(0)
|
27
|
1
|
17
|
(2)
|
51
|
(3)
|
42
|
|
| Cash from Financing Activities |
(2)
N/A
|
175
N/A
|
195
+11%
|
20
-90%
|
(0)
N/A
|
(3)
-951%
|
(10)
-192%
|
(9)
+11%
|
(6)
+33%
|
1
N/A
|
(1)
N/A
|
27
N/A
|
47
+74%
|
17
-63%
|
10
-41%
|
51
+395%
|
54
+6%
|
42
-21%
|
|
| Change in Cash | |||||||||||||||||||
| Effect of Foreign Exchange Rates |
(0)
|
(0)
|
(1)
|
(0)
|
(0)
|
(0)
|
(0)
|
(0)
|
(0)
|
0
|
(3)
|
(3)
|
(3)
|
(5)
|
(2)
|
(1)
|
0
|
1
|
|
| Net Change in Cash |
(11)
N/A
|
175
N/A
|
138
-21%
|
(73)
N/A
|
(12)
+83%
|
(23)
-86%
|
(52)
-129%
|
(32)
+38%
|
(22)
+30%
|
(60)
-166%
|
(63)
-6%
|
3
N/A
|
37
+1 213%
|
6
-82%
|
(21)
N/A
|
(16)
+23%
|
(25)
-56%
|
(3)
+90%
|
|
| Free Cash Flow | |||||||||||||||||||
| Free Cash Flow |
(5)
N/A
|
2
N/A
|
(54)
N/A
|
(79)
-48%
|
(15)
+81%
|
(17)
-15%
|
(42)
-143%
|
(27)
+37%
|
(21)
+22%
|
(48)
-130%
|
(60)
-25%
|
(30)
+49%
|
(82)
-173%
|
(84)
-1%
|
(29)
+66%
|
(49)
-69%
|
(79)
-62%
|
(54)
+32%
|
|