Apps
Purus semper eget duis at tellus at urna condimentum mattis. Non blandit massa enim nec. Integer enim neque volutpat ac tincidunt vitae semper quis. Accumsan tortor posuere ac ut consequat semper viverra nam.
Purus semper eget duis at tellus at urna condimentum mattis. Non blandit massa enim nec. Integer enim neque volutpat ac tincidunt vitae semper quis. Accumsan tortor posuere ac ut consequat semper viverra nam.
Ut venenatis tellus in metus vulputate. Amet consectetur adipiscing elit pellentesque. Sed arcu non odio euismod lacinia at quis risus. Faucibus turpis in eu mi bibendum neque egestas cmonsu songue. Phasellus vestibulum lorem sed risus.
Imperdiet dui accumsan sit amet nulla facilisi morbi. Fusce ut placerat orci nulla pellentesque dignissim enim. Libero id faucibus nisl tincidunt eget nullam. Commodo viverra maecenas accumsan lacus vel facilisis.
| Net sales | $200 |
| Cost of sales | ($70) |
| Gross profit | $130 |
| SG&A | ($10) |
| Income tax expense | ($5) |
| Income from continuing operations | $115 |
| Discontinued operations | ($10) |
| Net income | $105 |
Cash Flow Statement For Year Ended Dec 31, 2025 Cash Flow From Operations Net earnings $200 Additions to Cash Depreciation $70 Subtractions to Cash Increase in Inventory ($50) Net Cash From Operations $220 Cash Flow From Investing Equipment ($100) Cash Flow From Financing Notes Payable $30 Cash Flow for FY Ended Dec 31, 2025 $150