SCG Packaging Public Company Limited - Pengestrømsopgørelse (TTM)

SCG Packaging Public Company Limited
TH ˙ THAMSE
Pengestrømsopgørelse (TTM)

SCG Packaging Public Company Limited Pengestrømsopgørelse viser ændringer i likviditetspositioner over tid. Pengestrømsopgørelsesdata inkluderer kontanter fra driftsaktiviteter (CFOP), kontanter fra investeringsaktiviteter og kontanter fra finansieringsaktiviteter.

Alle tal er gange 1,000,000 undtagen pr. andel enheder.

2021
06-30
2021
09-30
2021
12-31
2022
03-31
2022
06-30
2022
09-30
2022
12-31
2023
03-31
2023
06-30
2023
09-30
2023
12-31
2024
03-31
2024
06-30
2024
09-30
2024
12-31
2025
03-31
2025
06-30
2025
09-30
2025
12-31
Kontanter fra driftsaktiviteter 10.217 8.099 7.501 8.680 10.500 14.213 17.234 19.442 20.803 21.167 21.482 19.518 11.551 14.405 13.754 13.158 13.903 16.220 15.538
Ændring (%) -20,73 -7,38 15,72 20,96 35,36 21,25 12,81 7,00 1,75 1,49 -9,14 -40,82 24,71 -4,52 -4,33 5,66 16,66 -4,20
% af pengestrømmen 129,72 -970,78 -31,33 -148,25 -232,81 530,90 648,96 -411,86 -455,55 -1.471,00 -27.773,77 199,62 64,63 -6.555,10 -34.762,90 -187,88 -103,19 -2.104,04 -458,96
Kontanter fra investeringsaktiviteter -25.933 -30.497 -30.995 -3.098 -3.105 -4.542 -3.119 -20.780 -20.621 -13.786 -13.060 -3.256 5.362 -2.591 -510 -5.685 -13.583 -6.233 -8.110
Ændring (%) 17,60 1,63 -90,00 0,21 46,29 -31,32 566,19 -0,76 -33,15 -5,27 -75,07 -264,68 -148,31 -80,29 1.013,60 138,95 -54,11 30,12
% af pengestrømmen -329,25 3.655,76 129,44 52,91 68,84 -169,66 -117,46 440,21 451,57 958,03 16.884,75 -33,30 30,00 1.178,86 1.290,23 81,17 100,82 808,56 239,57
Kontanter fra finansieringsaktiviteter 23.228 20.982 -1.042 -11.795 -12.291 -7.425 -11.602 -3.553 -5.290 -8.593 -8.366 -6.605 1.684 -11.570 -13.181 -14.136 -13.691 -10.392 -10.240
Ændring (%) -9,67 -104,97 1.031,59 4,20 -39,59 56,25 -69,37 48,89 62,43 -2,64 -21,05 -125,50 -786,94 13,93 7,24 -3,14 -24,09 -1,47
% af pengestrømmen 294,92 -2.515,17 4,35 201,43 272,51 -277,34 -436,87 75,27 115,85 597,15 10.816,53 -67,55 9,42 5.264,91 33.315,41 201,84 101,62 1.348,14 302,47
Cash Flow 7.876 -834 -23.945 -5.855 -4.510 2.677 2.656 -4.721 -4.567 -1.439 -77 9.777 17.873 -220 -40 -7.004 -13.473 -771 -3.385
Ændring (%) -110,59 2.770,35 -75,55 -22,98 -159,36 -0,80 -277,76 -3,26 -68,49 -94,62 -12.741,17 82,80 -101,23 -82,00 17.601,48 92,37 -94,28 339,16
% af pengestrømmen 100,00 100,00 100,00 100,00 100,00 100,00 100,00 100,00 100,00 100,00 100,00 100,00 100,00 100,00 100,00 100,00 100,00 100,00 100,00

Source: Capital IQ

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