Thursday, September 22, 2016 6:58:38 AM
Total Cash Flow From Operating Activities:
3rd 2015 q-92,000
2nd 2015 q-264,000
1st 2015 q-173,000
2014 -493,000
2013 -297,000
2012 -678,000
This company never made positive revenues, and appears to be cooking the story of rejuvel to attract sucker investors.
Total cash flow from operating activities is what rejuvel is supposed to do. If a business can't make money from their core operations, then how are they getting the money to continue?
One can expect the upcoming 10q to also be full of operating losses, with a story to attract, and fool new investors.
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