(FY)Dec 30, 2023 | (FY)Dec 30, 2022 | (FY)Dec 30, 2021 | (FY)Dec 30, 2020 | (FY)Dec 30, 2019 | (FY)Dec 30, 2018 | (FY)Dec 30, 2017 | (FY)Dec 30, 2016 | (FY)Dec 30, 2015 | (FY)Dec 30, 2014 | |
---|---|---|---|---|---|---|---|---|---|---|
Operating cash flow (direct method) | ||||||||||
Cash income from operating activities | -3.31%165.29M | 20.30%170.95M | -25.91%142.1M | -26.46%191.79M | 27.82%260.8M | 225.38%204.04M | -54.28%62.71M | -25.33%137.15M | 60.49%183.67M | -25.15%114.44M |
Other cash income from operating activities | -3.31%165.29M | 20.30%170.95M | -25.91%142.1M | -26.46%191.79M | 27.82%260.8M | 225.38%204.04M | -54.28%62.71M | -25.33%137.15M | 60.49%183.67M | -25.15%114.44M |
Cash paid | ||||||||||
Direct interest paid | -17.28%-9.22M | -11.41%-7.86M | -57.28%-7.05M | 36.30%-4.49M | 9.51%-7.04M | -14.61%-7.78M | 15.41%-6.79M | 5.13%-8.03M | -16.27%-8.46M | -23.70%-7.28M |
Direct interest received | 69.64%18.29M | 0.76%10.78M | 10.26%10.7M | -23.49%9.7M | 47.77%12.68M | -23.16%8.58M | -18.88%11.17M | -6.13%13.77M | 10.40%14.67M | 27.64%13.29M |
Direct tax refund paid | -19.61%-28.25M | 23.99%-23.61M | 19.85%-31.07M | 25.18%-38.76M | 10.36%-51.81M | -21.79%-57.79M | -5.06%-47.45M | 26.77%-45.17M | -50.34%-61.68M | 27.06%-41.03M |
Operating cash flow | -2.75%146.12M | 31.02%150.26M | -27.53%114.68M | -26.27%158.25M | 45.97%214.64M | 648.88%147.04M | -79.91%19.64M | -23.77%97.72M | 61.40%128.2M | -21.50%79.43M |
Investing cash flow | ||||||||||
Cash flow from continuing investing activities | -583.60%-103.83M | 68.78%-15.19M | -209.76%-48.65M | 152.02%44.33M | -75.63%-85.22M | 63.32%-48.52M | -18.47%-132.28M | -318.13%-111.66M | 70.41%-26.7M | -246.44%-90.25M |
Net PPE purchase and sale | 22.28%-5.76M | -463.93%-7.41M | 76.35%-1.31M | 74.03%-5.56M | 28.25%-21.39M | -1.81%-29.81M | -110.50%-29.28M | -575.19%-13.91M | 65.86%-2.06M | -129.26%-6.03M |
Net intangibles purchas and sale | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | -1,282.41%-61.45M |
Net business purchase and sale | ---- | ---- | --68K | ---- | ---- | ---- | -17,309.15%-51.36M | ---295K | ---- | -55.56%20K |
Net investment purchase and sale | 147.43%3.93M | 82.60%-8.29M | -195.73%-47.63M | 184.61%49.76M | -212.77%-58.81M | 63.85%-18.8M | 35.15%-52.02M | -201.15%-80.21M | -16.61%-26.64M | -151.90%-22.84M |
Dividends received (cash flow from investment activities) | -43.22%310K | 116.67%546K | 104.88%252K | -13.99%123K | -45.42%143K | -30.87%262K | 21.47%379K | 13.45%312K | -12.42%275K | 102.58%314K |
Net other investing changes | -262,241.03%-102.31M | -50.00%-39K | ---26K | ---- | -2,952.66%-5.16M | ---169K | ---- | -1,123.02%-17.56M | 765.12%1.72M | -120.77%-258K |
Cash from discontinued investing activities | ||||||||||
Investing cash flow | -583.60%-103.83M | 68.78%-15.19M | -209.76%-48.65M | 152.02%44.33M | -75.63%-85.22M | 63.32%-48.52M | -18.47%-132.28M | -318.13%-111.66M | 70.41%-26.7M | -246.44%-90.25M |
Financing cash flow | ||||||||||
Cash flow from continuing financing activities | -138.41%-70.54M | -20.00%-29.59M | -135.45%-24.66M | 239.32%69.54M | 36.01%-49.92M | -635.00%-78.01M | 83.18%-10.61M | -408.45%-63.1M | 160.71%20.46M | -53.96%-33.7M |
Net issuance payments of debt | 110.39%600K | 6.72%-5.78M | -104.52%-6.19M | 3,059.65%137.15M | 89.92%-4.63M | -5,216.13%-45.99M | 103.78%899K | -153.05%-23.8M | 2,293.01%44.87M | 143.99%1.88M |
Net common stock issuance | 199.69%38.98M | -46.52%13.01M | 76.18%24.32M | -36.61%13.81M | 16.96%21.78M | 4.82%18.62M | -2.64%17.76M | 36.43%18.25M | -6.90%13.37M | 847.01%14.37M |
Cash dividends paid | -197.61%-110.02M | 13.98%-36.97M | 46.50%-42.98M | -18.79%-80.33M | -42.15%-67.63M | -40.24%-47.58M | 38.12%-33.92M | -65.93%-54.82M | 30.80%-33.04M | -67.48%-47.75M |
Net other financing activities | -161.84%-94K | -21.24%152K | 117.85%193K | -290.99%-1.08M | 118.48%566K | -165.91%-3.06M | 270.72%4.65M | 42.62%-2.72M | -116.62%-4.74M | -117.10%-2.19M |
Cash from discontinued financing activities | ||||||||||
Financing cash flow | -138.41%-70.54M | -20.00%-29.59M | -135.45%-24.66M | 239.32%69.54M | 36.01%-49.92M | -635.00%-78.01M | 83.18%-10.61M | -408.45%-63.1M | 160.71%20.46M | -53.96%-33.7M |
Net cash flow | ||||||||||
Beginning cash position | 16.67%802.72M | 9.24%688.04M | 54.64%629.85M | 26.27%407.29M | 16.36%322.56M | -30.45%277.2M | -18.15%398.55M | 21.71%486.95M | -8.19%400.1M | 64.74%435.78M |
Current changes in cash | -126.79%-28.25M | 154.96%105.48M | -84.80%41.37M | 242.26%272.11M | 287.64%79.51M | 116.64%20.51M | -60.00%-123.26M | -163.17%-77.04M | 373.94%121.95M | -131.59%-44.52M |
Effect of exchange rate changes | -435.07%-30.81M | -45.34%9.2M | 133.94%16.82M | -1,047.43%-49.56M | -78.95%5.23M | 1,204.30%24.85M | 116.76%1.91M | 67.62%-11.37M | -497.31%-35.1M | -70.87%8.83M |
End cash Position | -7.36%743.65M | 16.67%802.72M | 9.24%688.04M | 54.64%629.85M | 26.27%407.29M | 16.36%322.56M | -30.45%277.2M | -18.15%398.55M | 21.71%486.95M | -8.19%400.1M |
Free cash from | -2.92%138.6M | 26.07%142.76M | -25.76%113.24M | -21.03%152.53M | 64.79%193.15M | 1,279.18%117.21M | -111.88%-9.94M | -33.44%83.68M | 964.10%125.71M | -87.37%11.81M |
Accounting Standards | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP |
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