Specialized Concrete Business
Service Business
$3,000,000
EBITDA: $858,192
$3,000,000
EBITDA: $858,192

$775,000
Cash Flow: $222,269
$1,130,149 TTM Gross Revenue and $222,269 Cash Flow
$775,000
Cash Flow: $222,269

$775,000
$775,000
$775,000
Cash Flow: $200,000
$775,000
Cash Flow: $200,000
