SIA
C6L
Far East HTrust
Q5T
NetLink NBN Tr
CJLU
CDL HTrust
J85
CapLand India T
CY6U
(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 | (FY)Dec 31, 2022 | (Q4)Dec 31, 2022 | |
---|---|---|---|---|---|---|---|---|---|---|
Operating cash flow (Indirect Method) | ||||||||||
Cash flow from continuing operating activities | -510.34%-26.5B | -140.78%-1.69B | 539.02%32.04B | 1,793.39%9.54B | 131.02%6.24B | 108.42%6.46B | -83.78%4.15B | 9.36%-7.3B | -99.79%503.93M | -125.09%-20.1B |
Net income from continuing operations | 7.07%15.53B | 16.82%16.87B | 26.02%17.75B | 19.88%55.84B | 129.93%12.82B | 7.13%14.5B | 6.26%14.44B | 1.45%14.09B | -10.37%46.59B | -55.29%5.57B |
Operating gains losses | -735.77%-5.27B | 55.86%-810.58M | 54.83%-458.6M | -8.84%-3.17B | 84.70%-1.14B | -50.56%828.69M | -149.04%-1.84B | -19.28%-1.02B | 15.64%-2.91B | -1,348.20%-7.48B |
Depreciation and amortization | -0.57%2.19B | 1.29%2.22B | 6.36%2.24B | 2.10%8.76B | 6.62%2.27B | 40.89%2.2B | -19.88%2.19B | -2.55%2.11B | 17.13%8.58B | 201.22%2.13B |
Asset impairment expenditure | -81.85%107.15M | -8.16%200.14M | -107.40%-12.12M | 117.77%2.44B | 199.13%1.47B | 141.20%590.27M | 3.76%217.93M | -6.57%163.62M | -23.65%1.12B | -17.91%491.46M |
Unrealized gains and losses of investment securities | ---- | ---- | 79.21%-48.41M | -177.26%-2.02B | ---- | ---- | ---- | -114.43%-232.89M | -23.09%2.61B | ---- |
Provision for loans, leases and other losses | -9.70%12.41B | -6.71%12.87B | -11.86%12.13B | -1.59%55.64B | -41.40%14.34B | 23.54%13.75B | 28.61%13.79B | 34.64%13.76B | 28.27%56.54B | 128.08%24.47B |
Other non cashItems | 2.60%-37.03B | -2.07%-37.44B | -10.44%-38.51B | -11.39%-148.48B | -7.48%-38.9B | -14.09%-38.02B | -14.53%-36.68B | -9.83%-34.87B | -11.43%-133.3B | -17.76%-36.2B |
Change in working capital | -90.03%-39.73B | -7.49%-32.06B | 112.84%4.7B | -3.64%-110.26B | 54.05%-22.89B | 3.60%-20.91B | -729.08%-29.82B | -17.15%-36.64B | -168.61%-106.39B | -186.49%-49.83B |
-Change in payables and accrued expense | ---- | -64.86%507.71M | -5.64%-5.91B | 1,270.59%1.91B | ---- | ---- | -29.18%1.44B | 11.06%-5.59B | -95.95%139.26M | -7.93%3.16B |
-Change in loans | -3,689.32%-179.48B | 93.04%-2.26B | 117.10%30.87B | 64.55%-97.86B | 40.36%-84.58B | 146.91%5B | 28.06%-32.51B | 118.13%14.22B | -165.01%-276.08B | -344.41%-141.81B |
-Change in other current assets | 188.27%9.07B | 293.72%2.88B | -66.38%-2.28B | 90.29%8.7B | -49.66%21.83B | 43.83%-10.27B | 92.93%-1.49B | -362.15%-1.37B | 8,789.29%4.57B | 418.05%43.37B |
-Change in other current liabilities | 753.71%28.75B | -1,133.18%-4.56B | -316.30%-10.98B | -54.96%16B | 169.99%14.83B | -77.49%3.37B | 110.78%441.65M | -113.75%-2.64B | 161.04%35.53B | 161.06%5.49B |
-Change in other working capital | 516.91%96.53B | -1,351.63%-28.62B | 83.03%-7B | -130.14%-39.01B | -42.17%23.11B | -159.38%-23.15B | -96.46%2.29B | -222.34%-41.26B | -46.57%129.44B | -53.91%39.97B |
Dividends received (cash flow from operating activities) | 43.51%1.2B | 12.27%2.04B | 3.50%597.47M | 6.24%3.86B | 8.24%631.74M | 7.53%833.03M | 1.19%1.82B | 20.68%577.28M | 6.43%3.63B | -21.32%583.65M |
Interest paid (cash flow from operating activities) | -24.23%-11.61B | -75.00%-9.66B | -97.81%-10.99B | -77.90%-29.15B | -185.31%-8.73B | -103.58%-9.34B | -43.93%-5.52B | -13.35%-5.55B | -8.96%-16.38B | 20.65%-3.06B |
Interest received (cash flow from operating activities) | -10.38%41.38B | 2.88%49.54B | 10.37%45.18B | 22.11%184.42B | 19.50%49.16B | 25.39%46.17B | 20.17%48.15B | 24.08%40.94B | 19.99%151.02B | 22.37%41.14B |
Tax refund paid | -37.21%-5.67B | -94.02%-5.51B | 11.69%-553.11M | 21.27%-8.36B | -42.67%-759.39M | -36.18%-4.13B | 54.48%-2.84B | 22.67%-626.33M | 16.65%-10.62B | -11.55%-532.25M |
Cash from discontinued operating activities | ||||||||||
Operating cash flow | -510.34%-26.5B | -140.78%-1.69B | 539.02%32.04B | 1,793.39%9.54B | 131.02%6.24B | 108.42%6.46B | -83.78%4.15B | 9.36%-7.3B | -99.79%503.93M | -125.09%-20.1B |
Investing cash flow | ||||||||||
Cash flow from continuing investing activities | 274.37%33.58B | 3,686.58%11.24B | -100.18%-44.33B | -131.07%-8.01B | -77.25%5.48B | 1,476.92%8.97B | 91.92%-313.37M | -456.21%-22.15B | 110.26%25.78B | 128.19%24.09B |
Net PPE purchase and sale | 49.71%-654.58M | 28.56%-639.08M | 22.78%-810.78M | 21.72%-4.01B | 77.94%-762.56M | -44.64%-1.3B | -25.02%-894.54M | -2,042.18%-1.05B | -475.75%-5.12B | -1,007.40%-3.46B |
Net intangibles purchas and sale | -40.03%-1.31B | -21.19%-1.32B | -91.35%-1.41B | -1.56%-4.87B | -125.18%-2.11B | -475.49%-938.08M | 53.23%-1.09B | 46.39%-738.65M | -6.57%-4.8B | 27.95%-937.92M |
Net business purchase and sale | -934.90%-1.04B | 91.62%-182.66M | -16.83%-75M | 69.45%-3.58B | ---1.23B | ---100.36M | ---2.18B | ---64.2M | -15,020,911.54%-11.72B | ---- |
Net investment purchase and sale | 223.50%36.59B | 247.75%13.38B | -107.13%-42.03B | -90.61%4.45B | -76.15%9.59B | 2,649.79%11.31B | 556.73%3.85B | -365.48%-20.29B | 119.29%47.41B | 147.96%40.2B |
Cash from discontinued investing activities | ||||||||||
Investing cash flow | 274.37%33.58B | 3,686.58%11.24B | -100.18%-44.33B | -131.07%-8.01B | -77.25%5.48B | 1,476.92%8.97B | 91.92%-313.37M | -456.21%-22.15B | 110.26%25.78B | 128.19%24.09B |
Financing cash flow | ||||||||||
Cash flow from continuing financing activities | 80.31%-3.87B | -174.63%-15.01B | -103.72%-739.2M | 66.01%-9.9B | -329.16%-4.63B | -1,111.28%-19.66B | 74.04%-5.47B | 334.44%19.85B | -489.33%-29.13B | -83.77%2.02B |
Net issuance payments of debt | 98.28%-316.93M | -111.66%-385.82M | -101.27%-257.71M | 102.45%489.1M | -284.34%-4.65B | -4,116.93%-18.47B | 123.55%3.31B | 352.88%20.3B | -225.66%-20B | -80.44%2.52B |
Cash dividends paid | -200.00%-3.55B | ---- | ---- | -23.08%-9.48B | --0 | 0.00%-1.18B | ---- | ---- | -8.33%-7.7B | --0 |
Net other financing activities | --0 | 15.11%-409.65M | -6.82%-481.49M | 36.21%-912.51M | 104.14%20.79M | --0 | 1.34%-482.57M | -2.65%-450.74M | -8.00%-1.43B | -12.50%-502.26M |
Cash from discontinued financing activities | ||||||||||
Financing cash flow | 80.31%-3.87B | -174.63%-15.01B | -103.72%-739.2M | 66.01%-9.9B | -329.16%-4.63B | -1,111.28%-19.66B | 74.04%-5.47B | 334.44%19.85B | -489.33%-29.13B | -83.77%2.02B |
Net cash flow | ||||||||||
Beginning cash position | -34.03%30.26B | -24.86%35.71B | -14.75%48.69B | -4.76%57.11B | -18.46%41.68B | -8.77%45.87B | -4.31%47.52B | -4.76%57.11B | -3.21%59.97B | -3.65%51.11B |
Current changes in cash | 175.94%3.21B | -234.34%-5.46B | -35.77%-13.03B | -193.92%-8.37B | 17.93%7.09B | -612.14%-4.22B | -364.09%-1.63B | 6.83%-9.6B | -42.64%-2.85B | -15.48%6.01B |
Effect of exchange rate changes | -684.71%-157.42M | 210.89%18.84M | 645.86%48.25M | -464.26%-57.33M | -797.63%-73.73M | 375.40%26.92M | -81,023.81%-16.99M | 184.77%6.47M | -274.41%-10.16M | 95.68%-8.21M |
End cash position | -20.06%33.32B | -34.03%30.26B | -24.86%35.71B | -14.75%48.69B | -14.75%48.69B | -18.46%41.68B | -8.77%45.87B | -4.31%47.52B | -4.76%57.11B | -4.76%57.11B |
Free cash from | -776.16%-28.51B | -269.55%-3.67B | 427.44%29.79B | 106.79%643.25M | 113.70%3.36B | 109.09%4.22B | -90.38%2.17B | 4.04%-9.1B | -104.01%-9.47B | -131.23%-24.51B |
Currency Unit | THB | THB | THB | THB | THB | THB | THB | THB | THB | THB |