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Retrophin Inc Cash from Financing Activities Chart (RTRX)

Retrophin Inc annual/quarterly Cash from Financing Activities from 2011 to 2020.
  • Retrophin Inc Cash from Financing Activities for the quarter ending June 06, 2020 was $109m a 100.68% increase of 110m year over year
  • Retrophin Inc Cash from Financing Activities for the last 12 months ending June 06, 2020 was $102m a 101.61% increase of 104m year over year
  • Retrophin Inc Annual Cash from Financing Activities for 2019 was $-2m a 11,263.36% decrease of -234m from 2018
  • Retrophin Inc Annual Cash from Financing Activities for 2018 was $232m a 97.65% increase of 226m from 2017
  • Retrophin Inc Annual Cash from Financing Activities for 2017 was $5m a 170.69% increase of 9m from 2016
Other Cash Flow Metrics:
  • Retrophin Inc Cash Flow from Operations for the quarter ending December 12, 2018 was $-4m a -313.30% increase of 11m year over year
  • Retrophin Inc Levered Free Cash Flow (FCF) for the quarter ending December 12, 2018 was $-20m a -76.10% increase of 15m year over year
  • Retrophin Inc Total Revenue for the quarter ending September 09, 2018 was $41m a -3.61% decrease of -1m year over year
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Quarterly RTRX Cash from Financing Activities Data

06/2020$109m
03/2020$-6m
12/2019$0m
09/2019$-1m
06/2019$0m
03/2019$-1m
12/2018$1m
09/2018$231m
06/2018$3m
03/2018$-3m

Annual RTRX Cash from Financing Activities Data

2019$-2m
2018$232m
2017$5m
2016$-4m
2015$102m
2014$95m
2013$29m
2012$4m
2011$1m