LSE - Delayed Quote GBp
European Opportunities Trust (EOT.L)
As of 9:56 AM GMT. Market Open.
Breakdown
TTM
5/31/2024
5/31/2023
5/31/2022
5/31/2021
Cash Flows from Used in Operating Activities Direct
-244.00
-244.00
4,069.00
3,401.00
693.00
Operating Cash Flow
-244.00
-244.00
4,069.00
3,401.00
693.00
Investing Cash Flow
325,443.00
325,443.00
35,735.00
10,747.00
-22,638.00
Financing Cash Flow
-326,455.00
-326,455.00
-39,186.00
-17,797.00
6,296.00
End Cash Position
5,615.00
5,615.00
6,951.00
5,973.00
9,892.00
Issuance of Debt
60,000.00
60,000.00
10,000.00
20,000.00
50,000.00
Repayment of Debt
-75,000.00
-75,000.00
-20,000.00
--
--
Repurchase of Capital Stock
-306,614.00
-306,614.00
-26,650.00
-35,688.00
-39,813.00
Free Cash Flow
-244.00
-244.00
4,069.00
3,401.00
693.00
5/31/2021 - 11/20/2000
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