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pregunta 1. Durante el ao en curso, el saldo de caja de RockCompany aument de $71,000 a $91,500. El flujo de efectivo neto delas actividades
pregunta 1. Durante el año en curso, el saldo de caja de RockCompany aumentó de $71,000 a $91,500. El flujo de efectivo neto delas actividades operativas de Rock fue de $37 500 y su flujo deefect 1 answer
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