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The Central and Eastern Europe Fund, Inc.

CEE

NYSE

16.46

USD
-0.06(-0.36%)

As of today

The Central and Eastern Europe Fund, Inc. fundamentals

CEE Cash Flow

Period EndingOct 31, 2024Oct 31, 2023Oct 31, 2022Oct 31, 2021Oct 31, 2020Oct 31, 2019Oct 31, 2018Oct 31, 2017Oct 31, 2016Oct 31, 2015Oct 31, 2014Oct 31, 2013Oct 31, 2012
Net Income17,999,49817,866,150-176,427,15890,246,950-54,841,59137,575,337-1,339,64341,919,3148,241,788-48,334,482-87,594,72927,088,0268,611,741
Depreciation & Amortization0000000000000
Deferred Income Tax0000000000000
Stock-Based Compensation0000000000000
Change in Working Capital0000000000000
Accounts Receivable Change0000000000000
Inventory Change0000000000000
Accounts Payable Change0000000000000
Other Working Capital Change0000000000000
Other Non-Cash Items-17,999,498-17,866,150176,427,158-90,246,95054,841,591-37,575,3371,339,643-41,919,314-8,241,78848,334,48287,594,729-27,088,026-8,611,741
Net Cash Provided by Operating Activities0000000000000
Investments in Property, Plant & Equipment0000000000000
Net Acquisitions0000000000000
Purchases of Investments0000000000000
Sales & Maturities of Investments0000000000000
Other Investing Activities0000000000000
Net Cash Used for Investing Activities0000000000000
Debt Repayment0000000000000
Common Stock Issued0000000000000
Common Stock Repurchased0000000000000
Dividends Paid0000000000000
Other Financing Activities0000000000000
Net Cash Used/Provided by Financing Activities0000000000000
Effect of Forex Changes on Cash0000000000000
Net Change in Cash0-99,462-274,849-5,212,3321,009,342-22,894,8490000000
Cash at End of Period044,004143,466418,3155,630,6474,621,3050000000
Cash at Beginning of Period0143,466418,3155,630,6474,621,30527,516,1540000000
Operating Cash Flow0000000000000
Capital Expenditure0000000000000
Free Cash Flow0000000000000