Sagaliam Acquisition Corp. Operating Cash Flow

Operating Cash Flow of SAGA for past 10 years: annual, quarterly and twelve month trailing (TTM) including Operating Cash Flow growth rates and interactive chart. Operating cash flow (OCF) is a measure of the amount of cash generated by a company's normal business operations. Operating cash flow indicates whether a company can generate sufficient positive cash flow to maintain and grow its operations, otherwise it may require external financing for expansion or even survival. A negative number means the company is funded through external capital (debt or equity issuance) or cash available on the balance sheet. A positive number means that a company generates enough cash to pay for its operations.


Highlights and Quick Summary

  • Operating Cash Flow for the quarter ending September 30, 2022 was $-310 Thousand (a 93.93% increase compared to previous quarter)
  • Year-over-year quarterly Operating Cash Flow decreased by -11.79%
  • Annual Operating Cash Flow for 2021 was $-453 Thousand
  • Twelve month Operating Cash Flow ending September 30, 2022 was $-1.18 Million (a 21.55% increase compared to previous quarter)
Trailing Operating Cash Flow for the last four month:
30 Sep '22 30 Jun '22
$-1.18 Million $-971 Thousand
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Historical Operating Cash Flow of Sagaliam Acquisition Corp.

Most recent Operating Cash Flowof SAGA including historical data for past 10 years.

Interactive Chart of Operating Cash Flow of Sagaliam Acquisition Corp.

Sagaliam Acquisition Corp. Operating Cash Flow for the past 10 Years (both Annual and Quarterly)

(All values are in $ million)

Year Q1 Q2 Q3 Q4 Fiscal Year
2022 $-0.31 $-0.16 $-0.36
2021 $-0.35 $-0.1 $-0.45

Business Profile of Sagaliam Acquisition Corp.

Sector: Financial Services
Industry: Shell Companies