Quality Construction Products Public Company Limited - Depositary Receipt (Common Stock) - Laporan Arus Kas (TTM)

Quality Construction Products Public Company Limited - Depositary Receipt (Common Stock)
TH ˙ SET
Laporan Arus Kas (TTM)

Laporan Arus Kas Quality Construction Products Public Company Limited - Depositary Receipt (Common Stock) menunjukkan perubahan posisi kas dari waktu ke waktu. Data Laporan Arus Kas meliputi Kas dari Aktivitas Operasional (CFOP), Kas dari Aktivitas Investasi, dan Kas dari Aktivitas Pendanaan.

Semua angka adalah kelipatan 1,000,000 kecuali unit per saham.

2020
09-30
2020
12-31
2021
03-31
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
Cash From Operating Activities 341 325 314 288 284 244 247 329 393 507 558 616 749 868 966 872 714 580 451 421
Change (%) -4.87 -3.45 -8.24 -1.18 -14.23 1.40 33.17 19.44 28.82 10.07 10.39 21.60 15.98 11.19 -9.72 -18.10 -18.72 -22.29 -6.53
% of Cash Flow -733.98 268.31 -207.37 893.81 668.66 -216.96 11,219.84 317.73 319.10 354.93 174.63 309.25 340.99 172.40 261.47 317.50 233.72 -2,704.65 -164.68 -120.15
Cash From Investing Activities -299 -105 -364 -38 -30 -147 -36 -77 -120 -215 -90 -92 -205 -41 -272 -173 16 -177 -299 -487
Change (%) -64.83 246.79 -89.47 -21.17 384.91 -75.54 113.47 56.69 79.30 -58.25 2.74 122.39 -80.08 565.49 -36.45 -109.37 -1,190.69 69.57 62.57
% of Cash Flow 641.70 -86.73 240.75 -119.12 -71.09 130.41 -1,626.76 -73.84 -97.29 -150.63 -28.11 -46.33 -93.43 -8.11 -73.64 -62.94 5.30 822.99 109.34 138.75
Cash From Financing Activities -89 -99 -101 -217 -212 -210 -209 -149 -150 -149 -149 -324 -324 -324 -324 -424 -425 -425 -425 -286
Change (%) 10.41 2.01 115.61 -2.59 -0.90 -0.22 -28.72 0.67 -0.83 -0.22 118.31 -0.12 -0.06 0.16 30.83 0.08 0.11 0.04 -32.87
% of Cash Flow 192.28 -81.58 66.62 -674.70 -497.57 186.55 -9,493.08 -143.89 -121.80 -104.30 -46.52 -162.92 -147.56 -64.29 -87.83 -154.56 -139.02 1,981.66 155.33 81.40
Cash Flow -47 121 -151 32 43 -112 2 104 123 143 319 199 220 504 369 275 305 -21 -274 -351
Change (%) -360.23 -224.93 -121.29 32.09 -364.33 -101.96 4,602.67 18.93 15.81 123.72 -37.66 10.28 129.39 -26.68 -25.65 11.26 -107.02 1,176.28 28.11
% of Cash Flow 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00

Source: Capital IQ

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