Pattern Group Stock

Pattern Group Operating Cash Flow

The Operating Cash Flow of Pattern Group (PTRN) as of Jun 27, 2026 is 99.41 T USD.In the previous year, Operating Cash Flow was 70.35 T USD — a change of 41.31% (higher).

Operating Cash Flow

99.41 TUSD

YoY

41.31%

Last updated:

Operating Cash Flow of Pattern Group is 2026 99.41 T USD. Operating Cash Flow of Pattern Group was 2025 70.35 T USD. It decreases by 41.31% higher compared to the previous year.
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Pattern Group Stock analysis

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Operating Cash Flow of Pattern Group amounted to 70.35 T USD 99.41 T

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Cash Flow — Pattern Group

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