Saigon General Service Corporation - Pengestrømsopgørelse (TTM)

Saigon General Service Corporation
VN ˙ HOSE
Pengestrømsopgørelse (TTM)

Saigon General Service Corporation 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 201.499 -285.286 -136.194 530.418 831.831 872.845 -30.107 -1.030.084 -1.327.177 -310.321 247.577 504.676 183.870 -146.779 9.402 -371.231 429.930 -687.065 -232.386
Ændring (%) -241,58 -52,26 -489,46 56,83 4,93 -103,45 3.321,36 28,84 -76,62 -179,78 103,85 -63,57 -179,83 -106,41 -4.048,26 -215,81 -259,81 -66,18
% af pengestrømmen -166,86 171,84 53,14 347,11 751,61 198,71 -12,44 609,02 1.468,92 112,54 -304,85 1.013,83 132,36 -110,47 2,16 -221,32 241,23 -474,31 557,59
Kontanter fra investeringsaktiviteter -153.775 -83.819 -27.821 -1.910 -103.966 -206.881 -215.220 -266.586 -242.249 -687.768 -706.175 -681.835 -587.810 -806.260 -361.505 -423.881 -1.039.605 -353.509 -538.437
Ændring (%) -45,49 -66,81 -93,13 5.343,01 98,99 4,03 23,87 -9,13 183,91 2,68 -3,45 -13,79 37,16 -55,16 17,25 145,26 -66,00 52,31
% af pengestrømmen 127,34 50,49 10,85 -1,25 -93,94 -47,10 -88,91 157,61 268,12 249,43 869,55 -1.369,73 -423,13 -606,82 -83,12 -252,71 -583,31 -244,04 1.291,93
Kontanter fra finansieringsaktiviteter -168.482 203.085 -92.279 -375.699 -617.191 -226.703 487.383 1.127.532 1.479.076 722.353 377.386 226.938 542.858 1.085.906 787.031 962.848 787.902 1.185.429 729.146
Ændring (%) -220,54 -145,44 307,13 64,28 -63,27 -314,99 131,34 31,18 -51,16 -47,76 -39,87 139,21 100,03 -27,52 22,34 -18,17 50,45 -38,49
% af pengestrømmen 139,52 -122,33 36,01 -245,86 -557,67 -51,61 201,35 -666,64 -1.637,04 -261,97 -464,70 455,89 390,77 817,29 180,96 574,03 442,08 818,35 -1.749,52
Cash Flow -120.758 -166.020 -256.294 152.809 110.674 439.261 242.056 -169.137 -90.350 -275.736 -81.211 49.779 138.919 132.867 434.928 167.735 178.226 144.856 -41.677
Ændring (%) 37,48 54,38 -159,62 -27,57 296,90 -44,89 -169,88 -46,58 205,19 -70,55 -161,30 179,07 -4,36 227,34 -61,43 6,25 -18,72 -128,77
% 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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