Thai Union Group Public Company Limited - Depositary Receipt (Common Stock) - Pengestrømsopgørelse (TTM)

Thai Union Group Public Company Limited - Depositary Receipt (Common Stock)
TH ˙ SET ˙ TH0450010R15
Pengestrømsopgørelse (TTM)

Thai Union Group 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 8.106 5.932 6.292 2.799 1.802 2.734 5.871 9.385 12.489 12.898 11.241 11.903 12.525 13.420 14.525 13.459 11.180 10.977 4.592
Ændring (%) -26,82 6,07 -55,51 -35,61 51,71 114,72 59,85 33,08 3,27 -12,84 5,88 5,23 7,15 8,24 -7,34 -16,93 -1,82 -58,17
% af pengestrømmen 836,08 -387,37 223,99 -99,72 -42,88 -145,15 183,81 123,46 152,83 215,45 508,41 -1.413,44 756,20 300,92 -244,01 -968,57 -434,02 -373,99 3.037,24
Kontanter fra investeringsaktiviteter -4.254 -7.177 -8.104 -7.813 -7.094 -4.343 -5.415 -9.130 -8.327 -9.673 -6.579 -5.531 -2.423 1.198 -6.562 -7.551 -8.576 -7.891 -919
Ændring (%) 68,71 12,90 -3,58 -9,21 -38,78 24,68 68,62 -8,79 16,17 -31,99 -15,92 -56,20 -149,44 -647,82 15,08 13,57 -7,99 -88,36
% af pengestrømmen -438,84 468,71 -288,48 278,38 168,78 230,55 -169,53 -120,11 -101,90 -161,59 -297,54 656,85 -146,27 26,86 110,23 543,39 332,91 268,84 -607,61
Kontanter fra finansieringsaktiviteter -2.970 -288 4.583 2.193 1.020 -356 2.742 7.360 4.064 2.837 -2.405 -7.313 -8.525 -9.447 -13.854 -7.196 -5.039 -6.549 -3.327
Ændring (%) -90,29 -1.689,79 -52,15 -53,49 -134,88 -870,77 168,41 -44,78 -30,18 -184,76 204,12 16,57 10,82 46,65 -48,06 -29,97 29,95 -49,19
% af pengestrømmen -306,35 18,83 163,15 -78,13 -24,27 18,89 85,85 96,82 49,73 47,39 -108,75 868,44 -514,72 -211,84 232,74 517,89 195,63 223,10 -2.200,63
Cash Flow 969 -1.531 2.809 -2.807 -4.203 -1.884 3.194 7.601 8.172 5.986 2.211 -842 1.656 4.460 -5.953 -1.390 -2.576 -2.935 151
Ændring (%) -257,95 -283,44 -199,92 49,74 -55,18 -269,55 137,99 7,50 -26,74 -63,06 -138,09 -296,68 169,26 -233,48 -76,66 85,38 13,94 -105,15
% 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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