PPG — Pro-Pac Packaging Cashflow Statement
0.000.00%
Last trade - 00:00
- AU$36.34m
- AU$85.93m
- AU$339.10m
- 60
- 97
- 50
- 76
2019 June 30th | 2020 June 30th | 2021 June 30th | 2022 June 30th | 2023 June 30th | |
---|---|---|---|---|---|
Period Length: | 12 M | 12 M | 12 M | 12 M | 12 M |
Source: | ARS | ARS | ARS | ARS | ARS |
Standards: | IFRS | IFRS | IFRS | IFRS | IFRS |
Status: | Final | Final | Final | Final | Final |
Changes in Working Capital | 0.054 | 0.098 | 0.196 | 0.097 | 0.052 |
Other Operating Cash Flow | |||||
Cash from Operating Activities | 15.8 | 53.4 | 27.4 | 6.54 | -3.02 |
Capital Expenditures | -6.21 | -6.52 | -15.3 | -17.3 | -7.71 |
Purchase of Fixed Assets | |||||
Purchase / Acquisition of Intangibles | |||||
Other Investing Cash Flow Items | -46.1 | -0.576 | -1.93 | 50.5 | 7.5 |
Acquisition of Business | |||||
Sale of Business | |||||
Sale of Fixed Assets | |||||
Other Investing Cash Flow | |||||
Cash from Investing Activities | -52.3 | -7.09 | -17.2 | 33.2 | -0.206 |
Financing Cash Flow Items | -1.06 | 0 | — | — | -3.18 |
Other Financing Cash Flow | |||||
Total Cash Dividends Paid | |||||
Net Issuance / Retirement of Stock | |||||
Net Issuance / Retirement of Debt | |||||
Cash from Financing Activities | 57.8 | -48 | -23.5 | -46.4 | 10.2 |
Foreign Exchange Effects | |||||
Beginning Cash Balance | |||||
Ending Cash Balance | |||||
Net Change in Cash | 20.4 | -2.18 | -13.5 | -6.56 | 7 |