 |
|
 |
 |
Appendix 4C - Cash Flow Statement
|
 |
3rd February, 2005: Beyond International is trading on budget for both profit and cash flow for the six months to 31 December, 2004. The Company is budgeting an operating profit of $700,000 to $800,000 for the first six months to 31 December, 2004 and approximately $3,350,000 for the year to 30 June, 2005.
The full cash flow statement can be viewed by clicking here
Note:- You will need a copy of Acrobat Reader to be able to read this file (PDF format)
Mr Mikael Borglund, Managing Director, Beyond International Limited
Telephone 02 9437 2000 or email investor_relations@beyond.com.au
published: Thursday, February 03, 2005 
|
|
 |
|