Siam Cement Public Limited (SCVUF) Cash Flow Statement Analysis - Operating Cash Flow, CapEx & Free Cash Flow - Stocknear

Siam Cement Public Limit...

PNK: SCVUF · Real-Time Price · USD
7.16
0.00 (0.00%)
At close: May 06, 2025, 10:00 PM

Siam Cement Public Cash Flow Statement

Financials in THB. Fiscal year is January - December.
Fiscal Year Q4 2024 Q3 2024 Q2 2024 Q1 2024 Q4 2023 Q3 2023 Q2 2023 Q1 2023 Q4 2022 Q3 2022 Q2 2022 Q1 2022 Q4 2021 Q3 2021 Q2 2021 Q1 2021
Period Ending Dec 31, 2024 Sep 30, 2024 Jun 30, 2024 Mar 31, 2024 Dec 31, 2023 Sep 30, 2023 Jun 30, 2023 Mar 31, 2023 Dec 31, 2022 Sep 30, 2022 Jun 30, 2022 Mar 31, 2022 Dec 31, 2021 Sep 30, 2021 Jun 30, 2021 Mar 31, 2021
Net Income
-1.35B -488.92M 3.11B 2.42B -1.13B 1.82B 8.2B 16.01B -1.88B 646.33M 9.57B 9.39B 8.53B 7.53B 20.4B 18.28B
Depreciation & Amortization
8.56B 7.71B 7.69B 7.63B 8.31B 7.13B 7.18B 7.12B 7.57B 7.49B 7.27B 7.13B 7.42B 7.45B 7.11B 6.86B
Stock-Based Compensation
n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
Other Working Capital
-718.64M -8.26B 101.67M -80.52M -1.91B 105.17M -127.8M -605.49M 626.64M 327.94M -477.52M -6.09B -2.96B 3.94B -657.33M -8.43B
Other Non-Cash Items
-1.19B -2.51B -2.65B 21.13B 15.89B 2.44B -1.17B -13.36B 2.18B 1.69B 1.63B 510.14M -2.39B -4.65B -9.15B -4.58B
Deferred Income Tax
433.59M 758.42M 1.19B 1.5B 1.24B 1.41B 1.07B 4.32B -74.93M 1.15B 1.95B 1.63B 1.76B 1.89B 2.93B 2.32B
Change in Working Capital
14.49B -415.43M -1.25B -8.32B 2B 1.99B -1.08B 1.19B 12.07B -5.82B -7.66B -6.47B -7.72B -3.03B -10.61B -11.54B
Operating Cash Flow
20.94B 5.06B 8.09B -639.7M 12.35B 11.62B 10.14B 11.18B 18.29B -472.78M 4B 7.9B 7.59B 9.19B 10.68B 11.34B
Capital Expenditures
-6.12B -6.88B -6.79B -8.27B -6.86B -9.75B -6.8B -8.61B -10B -9.74B -9.75B -10.43B -14.64B -15.5B -15.69B -14.65B
Cash Acquisitions
-185.92M -605.45M -926.46M -7.26M 2.02B -286.55M -120.35M -366.29M -2.95B -4.88B -1.13B -585.89M -4.4B -20.21B -284.16M -2.75B
Purchase of Investments
-1.99B 1.36B -176.8M -4.79B -1.91B -14.33B -19.3B -33.3B -18.5B -3.26B -6.52B -5.25B -14.29B -3.1B -13.69B -37.43B
Sales Maturities Of Investments
669.01M 4.09B 751.45M 6.24B 24.14B 14.08B 26.28B 15.4B 5.63B 4.13B 4.76B 14.85B 17.04B 22.29B 17.96B 21.94B
Other Investing Acitivies
7.38B 3.02B 4.34B -645K -1.54B 2.49B 6.21B 275.95M 6.04B 6.19B 5.83B 2.64B 1.3B 2.48B -10.35B -14.24B
Investing Cash Flow
1.14B 992.57M -2.8B -6.82B 15.84B -7.8B 6.28B -26.6B -19.77B -7.58B -6.82B 1.22B -12.52B -14.04B -6.36B -32.48B
Debt Repayment
-14.73B -2.4B 4.91B 18.88B -34.65B 7.05B -832.68M 616.67M 19.41B 16.72B 2.7B 16.27B 4.32B 12.71B -2.27B 10.55B
Common Stock Repurchased
n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
Dividend Paid
n/a -3B -4.2B n/a n/a -3B -2.4B n/a n/a -7.2B -12B n/a n/a -10.2B -10.2B n/a
Other Financial Acitivies
-3.58B -23.92B -4.73B -3.41B -764.46M -4.1B -4.79B -3.72B -2.59B -3.18B -3.43B -2.3B 2.66B -4.04B -5.54B -1.23B
Financial Cash Flow
-18.3B -29.32B -4.03B 18.81B -35.05B -47.96M -8.02B -3.1B 16.83B 6.34B -12.73B 13.97B 6.97B -1.53B -18B 9.32B
Net Cash Flow
4.03B -24.75B 1.25B 12.37B -8.03B 3.78B 9.11B -18.79B 14.02B -938.99M -14.62B 23.08B 1.73B -5.55B -13.38B -11.2B
Free Cash Flow
14.83B -1.82B 2.72B -8.91B 5.49B 1.86B 3.34B 2.57B 8.29B -10.22B -5.75B -2.54B -7.04B -6.3B -5.01B -3.32B