PyroGenesis Canada Inc. Operating Cash Flow

Quick Answer

PyroGenesis Canada Inc. reported operating cash flow of -C$11.13 million for fiscal year 2022 (IFRS, Form 20-F).

Reported under IFRS (SEC Form 20-F). Figures are shown in USD where the company provided them, otherwise in its reporting currency — each value exactly as filed with the SEC, not converted.

PyroGenesis Canada Inc. Operating Cash Flow — Annual History

Fiscal Year Operating Cash Flow YoY Change
2022 -C$11.13M +38.6%
2021 -C$18.11M -2122.5%
2020 -C$815.0K
  • PyroGenesis Canada Inc.’s operating cash flow rose 38.6% year over year.
  • The most recent figure is from PyroGenesis Canada Inc.’s fiscal year 2022 annual report (Form 20-F), filed March 31, 2023.
  • All figures are sourced from SEC EDGAR XBRL filings, last verified June 19, 2026.

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