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ATRenew Inc.
RERE
·
Consumer Cyclical, Specialty Retail
Financial Statements
Profitability
Balance Sheet
Cash Flow
Price Ratios
Share-Based Metrics
Valuation
Cash Flow History
Net Cash Flow Breakdown
Net Cash Flow
Cash Flow
›
Net Cash Flow Breakdown
Net Cash Flow Breakdown
Chart
Table
FY2024
FY2023
FY2022
Total Cash from Operations:
$88.1M
Line Item
Value
% of Total
Capital Expenditures
$8.2M
9.3%
Other Investing
$42.9M
48.7%
Stock Repurchases
$25.2M
28.7%
Other Financing
$11.8M
13.4%
Net Cash Flow
$0
0.0%
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