Atari, S.A. Announces Preliminary Unaudited Consolidated Revenue Results for the Third Quarter and Nine Months Ended December 31, 2014; Provides Cash Flow Guidance for the Fourth Quarter and Full Year Ending March 31, 2014
Revenue for the first nine months totaled was 1.7 million.
The target for March 31, 2014 was a cash flow of $3 million from operations.
Considering the ongoing cash flows during the fourth quarter of fiscal 2013-2014, that target will be met.