Sky Harbour Group Announces Amendment To Its 2Q23 Cash Flow Statement; Net Cash Used In Operating Activities Restated To $5.73M From $9.1M
Sky Harbour Group Announces Amendment To Its 2Q23 Cash Flow Statement; Net Cash Used In Operating Activities Restated To $5.73M From $9.1M
天港集團宣佈修訂其23年第二季度現金流量表;用於經營活動的淨現金從910萬美元重報爲573萬美元
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https://www.sec.gov/ix?doc=/Archives/edgar/data/0001823587/000143774923027985/ysac20230630_10qa.htm
Https://www.sec.gov/ix?doc=/Archives/edgar/data/0001823587/000143774923027985/ysac20230630_10qa.htm
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