EUDA Health Holdings Ltd

EUDAW ·Healthcare, Medical Care Facilities
Financial Statements Cash Flow Statement
Annual Quarterly

Cash Flow Statement

Line Item Mar 2023 Oct 2022 Mar 2022
Operating Activities
Net Income $-2.4M $201.0K $222.6K
Depreciation & Amortization
Depreciation $4.0K $7.0K
Amortization $29.5K
Stock-Based Compensation
Net Cash from Operating Activities $-469.9K $-123.8K $-252.2K
Investing Activities
Capital Expenditures
Business Acquisitions
Net Cash from Investing Activities $-29.3K
Financing Activities
Dividends Paid
Stock Repurchases
Net Cash from Financing Activities $525.3K $196.1K $331.4K
Net Change in Cash $52.8K $72.3K $47.3K
Free Cash Flow