Talon Resources Operating Cash Flow Growth & History (TAR)

Talon Resources's operating cash flow was −£133,935 for fiscal 2025.

View full Talon Resources company overview

Talon Resources annual operating cash flow history

Talon Resources annual operating cash flow

Fiscal yearPeriod endedOperating cash flowChangeGrowth
20252025-12-31−£133,935−£330,769
20242024-12-31£196,834£883,273
20232023-12-31−£686,439−£654,530
20222022-12-31−£31,909£2,192
20212021-12-31−£34,101

Talon Resources operating cash flow trends

Between the periods ended 2021-12-31 and 2025-12-31, Talon Resources's operating cash flow decreased from −£34,101 to −£133,935, a change of −£99,834.

About the metric

What operating cash flow means

Operating cash flow is the cash generated or used by a company’s core operations. It incorporates working-capital movements and other operating cash items, and it is the starting point for calculating free cash flow.

Calculation and source

reported operating cash flow

TickerStat standardizes net cash provided by or used in operating activities reported in company official filings. It is historical filing data before capital expenditures, financing activities, and investing activities. Fiscal periods can differ from calendar years, so exact period-end dates are included.

Review Talon Resources source filings ↗

Community posts

It’s quiet here.

No posts about TAR yet. Start the conversation.

Write the first post