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TCPTF THANACHART CAPITAL PCL NON VTG DEP RCPT REP 1 ORD THB10

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15min DelayClose Mar 11 09:30 ET
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THANACHART CAPITAL PCL NON VTG DEP RCPT REP 1 ORD THB10 Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
385.36%2.52B
9.62%1.51B
146.70%411.52M
197.25%3.3B
-234.44%-2.71B
-145.50%-884.57M
-73.34%1.38B
-260.64%-881.17M
-8,446.45%-3.4B
153.75%2.01B
Net income from continuing operations
-5.61%7.46B
-13.32%1.4B
-17.42%1.75B
2.79%2.23B
4.09%2.08B
9.76%7.9B
10.89%1.62B
18.91%2.12B
-8.37%2.17B
25.37%2B
Operating gains losses
-20.47%-5.96B
-15.94%-1.43B
-14.83%-1.5B
-29.51%-1.66B
-21.69%-1.37B
-34.75%-4.94B
-17.51%-1.23B
-67.00%-1.31B
-9.89%-1.28B
-67.08%-1.12B
Depreciation and amortization
0.22%231.6M
-3.78%56.66M
-1.19%57.62M
3.29%59.31M
2.74%58.01M
-4.03%231.08M
0.86%58.89M
-0.27%58.31M
-3.55%57.42M
-12.31%56.46M
Other non cashItems
12.94%-2.91B
24.59%-625.05M
26.29%-723.68M
10.71%-759.46M
-17.90%-797.6M
-15.58%-3.34B
14.99%-828.84M
-35.37%-981.74M
-16.09%-850.54M
-48.77%-676.49M
Change in working capital
71.67%-1.53B
54.93%363.51M
82.02%-345.13M
154.58%2.37B
-716.30%-3.91B
-105.91%-5.39B
-94.71%234.63M
-302.74%-1.92B
-257.48%-4.34B
111.83%634.63M
-Change in receivables
-66.92%411.75M
115.48%1B
-135.19%-808.57M
-78.22%154.7M
-84.64%63.49M
207.43%1.24B
150.07%465.08M
-585.61%-343.8M
205.87%710.26M
177.55%413.25M
-Change in payables and accrued expense
-115.09%-199.72M
-674.82%-709.16M
107.88%57.81M
-49.03%376.84M
133.73%74.8M
52.48%-92.85M
110.68%123.37M
-161.73%-733.78M
830.84%739.31M
-73.44%-221.75M
-Change in loans
124.04%2.19B
482.46%3.06B
109.36%159.15M
83.53%-811.42M
87.08%-219.05M
-15.96%-9.12B
60.93%-801.33M
-221.23%-1.7B
-108.72%-4.93B
42.08%-1.7B
-Change in other current assets
383.79%801.57M
149.40%308.38M
-102.06%-20.72M
146.12%240.16M
-9.60%273.76M
193.77%165.69M
-165.24%-624.26M
196.20%1.01B
-404.50%-520.75M
1,645.92%302.83M
-Change in other current liabilities
96.96%-5.34M
-50.42%-148.44M
-42.62%344.52M
86.38%-111.11M
-164.95%-90.31M
-113.20%-175.25M
-108.46%-98.68M
305.39%600.47M
-519.77%-816.08M
-46.36%139.04M
-Change in other working capital
-282.18%-4.73B
-369.48%-3.15B
89.69%-77.32M
427.62%2.52B
-336.52%-4.01B
-52.43%2.6B
-81.85%1.17B
-661.94%-749.6M
-48.42%477.18M
182.74%1.7B
Cash from discontinued operating activities
Operating cash flow
385.48%2.52B
9.61%1.51B
146.68%411.24M
197.25%3.31B
-234.44%-2.71B
-145.47%-884.14M
-73.33%1.38B
-260.56%-880.99M
-8,365.12%-3.4B
153.75%2.01B
Investing cash flow
Cash flow from continuing investing activities
412.44%3.22B
32.89%970.24M
468.27%1.18B
-33.75%983.53M
104.94%88.66M
106.13%629.19M
115.57%730.08M
107.15%207.96M
150.42%1.48B
-740.77%-1.79B
Net investment purchase and sale
90.37%-260.37M
-25.06%-825.28M
1,870.16%1.31B
-267.41%-778.63M
102.00%35.19M
52.11%-2.71B
18.52%-659.92M
97.82%-73.91M
88.38%-211.92M
-575.99%-1.76B
Net PPE purchase and sale
28.58%-61.24M
21.86%-19.43M
60.29%-12.99M
26.37%-14.39M
-67.46%-14.42M
36.32%-85.74M
-70.76%-24.87M
-4.80%-32.71M
73.81%-19.55M
39.46%-8.61M
Net business purchase and sale
-304.18%-537.56M
---95.95M
-91,796.45%-310.61M
---53.39M
41.49%-77.62M
97.88%-133M
--0
99.34%-338K
--0
-4.69%-132.66M
Cash from discontinued investing activities
Investing cash flow
412.44%3.22B
32.89%970.24M
468.27%1.18B
-33.75%983.53M
104.94%88.66M
106.13%629.19M
115.57%730.08M
107.15%207.96M
150.42%1.48B
-740.77%-1.79B
Financing cash flow
Cash flow from continuing financing activities
-2,338.79%-5.75B
-17.87%-2.49B
-337.04%-1.59B
-323.65%-4.29B
1,290.77%2.62B
-96.91%256.96M
-326.24%-2.11B
-71.63%670.82M
-35.69%1.92B
-106.33%-219.67M
Net issuance payments of debt
-110.53%-578.38M
-730.49%-1.9B
-102.85%-24.38M
-130.79%-1.5B
14,304.64%2.85B
-58.73%5.49B
-117.41%-228.93M
-65.99%856.14M
-16.59%4.88B
-100.55%-20.07M
Cash dividends paid
-4.85%-3.41B
100.12%1.57M
---1.31B
-5.26%-2.1B
--0
-3.38%-3.25B
-0.10%-1.26B
--0
-5.56%-1.99B
--0
Net other financing activities
73.60%-117.33M
0.00%-15.05M
-20.00%-6K
----
----
29.85%-444.36M
66.42%-15.05M
---5K
---429.29M
---6K
Cash from discontinued financing activities
Financing cash flow
-2,338.79%-5.75B
-17.87%-2.49B
-337.04%-1.59B
-323.65%-4.29B
1,290.77%2.62B
-96.91%256.96M
-326.24%-2.11B
-71.63%670.82M
-35.69%1.92B
-106.33%-219.67M
Net cash flow
Beginning cash position
44.12%6.57M
-1.72%6.46M
-59.22%3.58M
-17.06%4.06M
44.14%6.57M
1.85%4.56M
-24.52%6.58M
101.47%8.79M
-32.23%4.89M
1.85%4.56M
Current changes in cash
-328.33%-4.59M
-149,366.67%-4.48M
230.05%2.88M
-112.17%-474K
-852.69%-2.51M
2,324.10%2.01M
99.93%-3K
-150.89%-2.21M
236.15%3.89M
-87.83%334K
End cash position
-69.90%1.98M
-69.90%1.98M
-1.72%6.46M
-59.22%3.58M
-17.06%4.06M
44.12%6.57M
44.12%6.57M
-24.52%6.58M
101.47%8.79M
-32.23%4.89M
Free cash flow
352.58%2.46B
10.21%1.5B
143.56%398.21M
196.26%3.29B
-235.99%-2.72B
-153.94%-974.84M
-73.75%1.36B
-277.45%-914.13M
-2,888.46%-3.42B
153.22%2B
Currency Unit
THB
THB
THB
THB
THB
THB
THB
THB
THB
THB
(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities 385.36%2.52B9.62%1.51B146.70%411.52M197.25%3.3B-234.44%-2.71B-145.50%-884.57M-73.34%1.38B-260.64%-881.17M-8,446.45%-3.4B153.75%2.01B
Net income from continuing operations -5.61%7.46B-13.32%1.4B-17.42%1.75B2.79%2.23B4.09%2.08B9.76%7.9B10.89%1.62B18.91%2.12B-8.37%2.17B25.37%2B
Operating gains losses -20.47%-5.96B-15.94%-1.43B-14.83%-1.5B-29.51%-1.66B-21.69%-1.37B-34.75%-4.94B-17.51%-1.23B-67.00%-1.31B-9.89%-1.28B-67.08%-1.12B
Depreciation and amortization 0.22%231.6M-3.78%56.66M-1.19%57.62M3.29%59.31M2.74%58.01M-4.03%231.08M0.86%58.89M-0.27%58.31M-3.55%57.42M-12.31%56.46M
Other non cashItems 12.94%-2.91B24.59%-625.05M26.29%-723.68M10.71%-759.46M-17.90%-797.6M-15.58%-3.34B14.99%-828.84M-35.37%-981.74M-16.09%-850.54M-48.77%-676.49M
Change in working capital 71.67%-1.53B54.93%363.51M82.02%-345.13M154.58%2.37B-716.30%-3.91B-105.91%-5.39B-94.71%234.63M-302.74%-1.92B-257.48%-4.34B111.83%634.63M
-Change in receivables -66.92%411.75M115.48%1B-135.19%-808.57M-78.22%154.7M-84.64%63.49M207.43%1.24B150.07%465.08M-585.61%-343.8M205.87%710.26M177.55%413.25M
-Change in payables and accrued expense -115.09%-199.72M-674.82%-709.16M107.88%57.81M-49.03%376.84M133.73%74.8M52.48%-92.85M110.68%123.37M-161.73%-733.78M830.84%739.31M-73.44%-221.75M
-Change in loans 124.04%2.19B482.46%3.06B109.36%159.15M83.53%-811.42M87.08%-219.05M-15.96%-9.12B60.93%-801.33M-221.23%-1.7B-108.72%-4.93B42.08%-1.7B
-Change in other current assets 383.79%801.57M149.40%308.38M-102.06%-20.72M146.12%240.16M-9.60%273.76M193.77%165.69M-165.24%-624.26M196.20%1.01B-404.50%-520.75M1,645.92%302.83M
-Change in other current liabilities 96.96%-5.34M-50.42%-148.44M-42.62%344.52M86.38%-111.11M-164.95%-90.31M-113.20%-175.25M-108.46%-98.68M305.39%600.47M-519.77%-816.08M-46.36%139.04M
-Change in other working capital -282.18%-4.73B-369.48%-3.15B89.69%-77.32M427.62%2.52B-336.52%-4.01B-52.43%2.6B-81.85%1.17B-661.94%-749.6M-48.42%477.18M182.74%1.7B
Cash from discontinued operating activities
Operating cash flow 385.48%2.52B9.61%1.51B146.68%411.24M197.25%3.31B-234.44%-2.71B-145.47%-884.14M-73.33%1.38B-260.56%-880.99M-8,365.12%-3.4B153.75%2.01B
Investing cash flow
Cash flow from continuing investing activities 412.44%3.22B32.89%970.24M468.27%1.18B-33.75%983.53M104.94%88.66M106.13%629.19M115.57%730.08M107.15%207.96M150.42%1.48B-740.77%-1.79B
Net investment purchase and sale 90.37%-260.37M-25.06%-825.28M1,870.16%1.31B-267.41%-778.63M102.00%35.19M52.11%-2.71B18.52%-659.92M97.82%-73.91M88.38%-211.92M-575.99%-1.76B
Net PPE purchase and sale 28.58%-61.24M21.86%-19.43M60.29%-12.99M26.37%-14.39M-67.46%-14.42M36.32%-85.74M-70.76%-24.87M-4.80%-32.71M73.81%-19.55M39.46%-8.61M
Net business purchase and sale -304.18%-537.56M---95.95M-91,796.45%-310.61M---53.39M41.49%-77.62M97.88%-133M--099.34%-338K--0-4.69%-132.66M
Cash from discontinued investing activities
Investing cash flow 412.44%3.22B32.89%970.24M468.27%1.18B-33.75%983.53M104.94%88.66M106.13%629.19M115.57%730.08M107.15%207.96M150.42%1.48B-740.77%-1.79B
Financing cash flow
Cash flow from continuing financing activities -2,338.79%-5.75B-17.87%-2.49B-337.04%-1.59B-323.65%-4.29B1,290.77%2.62B-96.91%256.96M-326.24%-2.11B-71.63%670.82M-35.69%1.92B-106.33%-219.67M
Net issuance payments of debt -110.53%-578.38M-730.49%-1.9B-102.85%-24.38M-130.79%-1.5B14,304.64%2.85B-58.73%5.49B-117.41%-228.93M-65.99%856.14M-16.59%4.88B-100.55%-20.07M
Cash dividends paid -4.85%-3.41B100.12%1.57M---1.31B-5.26%-2.1B--0-3.38%-3.25B-0.10%-1.26B--0-5.56%-1.99B--0
Net other financing activities 73.60%-117.33M0.00%-15.05M-20.00%-6K--------29.85%-444.36M66.42%-15.05M---5K---429.29M---6K
Cash from discontinued financing activities
Financing cash flow -2,338.79%-5.75B-17.87%-2.49B-337.04%-1.59B-323.65%-4.29B1,290.77%2.62B-96.91%256.96M-326.24%-2.11B-71.63%670.82M-35.69%1.92B-106.33%-219.67M
Net cash flow
Beginning cash position 44.12%6.57M-1.72%6.46M-59.22%3.58M-17.06%4.06M44.14%6.57M1.85%4.56M-24.52%6.58M101.47%8.79M-32.23%4.89M1.85%4.56M
Current changes in cash -328.33%-4.59M-149,366.67%-4.48M230.05%2.88M-112.17%-474K-852.69%-2.51M2,324.10%2.01M99.93%-3K-150.89%-2.21M236.15%3.89M-87.83%334K
End cash position -69.90%1.98M-69.90%1.98M-1.72%6.46M-59.22%3.58M-17.06%4.06M44.12%6.57M44.12%6.57M-24.52%6.58M101.47%8.79M-32.23%4.89M
Free cash flow 352.58%2.46B10.21%1.5B143.56%398.21M196.26%3.29B-235.99%-2.72B-153.94%-974.84M-73.75%1.36B-277.45%-914.13M-2,888.46%-3.42B153.22%2B
Currency Unit THBTHBTHBTHBTHBTHBTHBTHBTHBTHB
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