Statement of Cash Flow
2018년 | 2019년 | 2020년 | |
---|---|---|---|
Cash Flow from Sales Activities | - 4 | - 62 | - 947 |
Net Profit of Current Term | - 4 | - 62 | - 947 |
Cash Flow from Investment Activities | - | - 130 | - 122 |
Cash Flow from Financial Activities | 50 | 4,012 | - |
Increase in Cash | 46 | 3,820 | - 1,079 |