SBR fundamentals
An in-depth look to SABRE RESOURCES LIMITED operating, investing, and financing activities
SBR free cash flow for H1 25 is -386.47 k AUD. For 2024, SBR free cash flow was -757.46 k AUD and operating cash flow was -757.46 k AUD.
Cash from operating activities
Cash from investing activities
Cash from financing activities
Currency: AUD
TTM