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In 2023, VIM Inc. had cash flows from investing activities of -$2,1 million and cash flows from financing activities of -$3.2 million. The net change

In 2023, VIM Inc. had cash flows from investing activities of

-$2,1

million and cash flows from financing activities of

-$3.2

million. The net change in cash and marketable securities was

$1.5

million. Calculate the company's cash flow from operations for 2023.\ Hint: Net Change in Cash & Marketable Securities = Cash Flow from Operating Activities + Cash Flow from Investing Activities + Cash Flow from Financing Activities\

$2.4

million\

$0.4

million\

$6.8

million\

$3.8

million

image text in transcribed
In 2023, VIM Inc. had cash flows from investing activities of $2,1 million and cash flows from financing activities of $3.2 million. The net change in cash and marketable securities was $1.5 million. Calculate the company's cash flow from operations for 2023. Hint: Net Change in Cash \& Marketable Securities = Cash Flow from Operating Activities + Cash Flow from Investing Activities + Cash Flow from Financing Activities $2.4 million $0.4 million $6.8 million $3.8 million

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