Sahakol Equipment Public Company Limited - Depositary Receipt (Common Stock) - Pengestrømsopgørelse (TTM)

Sahakol Equipment Public Company Limited - Depositary Receipt (Common Stock)
TH ˙ SET
Pengestrømsopgørelse (TTM)

Sahakol Equipment Public Company Limited - Depositary Receipt (Common Stock) 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 1.402 1.460 1.335 1.306 1.488 1.267 1.626 1.244 968 746 289 356 -184 101 309 494 1.061 926 1.003
Ændring (%) 4,16 -8,57 -2,17 13,97 -14,87 28,35 -23,51 -22,14 -23,00 -61,31 23,41 -151,61 -154,71 207,59 59,93 114,60 -12,71 8,23
% af pengestrømmen -9.016,89 2.365,75 -1.645,77 145.098,98 3.320,82 11.048,04 1.993,03 -10.321,81 3.743,43 4.962,75 -458,08 418,79 1.302,66 1.184,96 -1.087,80 -496,50 19.226,45 -3.397,47 1.091,77
Kontanter fra investeringsaktiviteter -37 -43 -119 -240 -423 -493 -494 -366 -317 -320 -333 -407 -296 -258 -300 -294 -286 -266 -246
Ændring (%) 17,00 174,43 101,81 76,07 16,51 0,19 -25,92 -13,45 0,96 4,18 22,10 -27,26 -12,65 16,01 -2,08 -2,40 -7,10 -7,62
% af pengestrømmen 238,59 -70,32 146,83 -26.704,45 -944,20 -4.299,08 -605,38 3.036,29 -1.224,04 -2.127,56 528,85 -478,36 2.097,35 -3.045,95 1.054,58 294,71 -5.190,18 976,03 -267,71
Kontanter fra finansieringsaktiviteter -1.380 -1.354 -1.297 -1.062 -1.020 -762 -1.051 -890 -626 -411 -18 136 465 166 -38 -301 -769 -687 -665
Ændring (%) -1,83 -4,25 -18,08 -3,96 -25,27 37,78 -15,28 -29,67 -34,33 -95,52 -836,92 243,11 -64,26 -122,76 693,74 155,92 -10,62 -3,28
% af pengestrømmen 8.876,33 -2.195,08 1.599,16 -118.064,31 -2.277,00 -6.649,38 -1.287,65 7.385,51 -2.419,39 -2.735,20 29,23 159,57 -3.300,03 1.960,95 133,22 301,79 -13.936,33 2.521,43 -724,06
Cash Flow -16 62 -81 1 45 11 82 -12 26 15 -63 85 -14 8 -28 -100 6 -27 92
Ændring (%) -496,98 -231,42 -101,11 4.879,62 -74,41 611,51 -114,77 -314,68 -41,92 -519,12 -234,98 -116,59 -160,15 -435,06 250,39 -105,54 -593,99 -436,80
% 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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