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THBRF Stock Annual Cash Flow. Download in Excel

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Financials

THBRF Cash Flow

Annual
Dec-13Dec-14Dec-15Dec-16Dec-17Jun-19Jun-20Jun-21Jun-22Jun-23
(Increase) Decrease in other current assets25000.0
(Increase) Decrease in other current liabilities13 M-3 M
(Increase) Decrease in other working capital3 M-266000.06 M
(Increase) Decrease in payables1371.025558.0-7115.0-5 M553000.0639000.018 M7 M
(Increase) Decrease in receivables-429.0612.0-249.0-4825.04053.0-7 M1 M-4 M-38 M-5 M
Amortization of intangibles637000.0270000.0270000.0270000.0270000.0
AssetImpairmentCharge29484.013961.0315000.0309000.0433000.0277000.0994000.0
CapitalExpenditureReported2.08500.03 M3 M1 M4 M
Cash at beginning of period3355.0136930.01121.01691.02 M13 M13 M13 M22 M30 M
Cash at end of period136930.01121.01691.02 M3 M13 M13 M22 M30 M25 M
Cash flow-181700.0-170134.0-147547.0-172649.0-111534.0-9 M17 M22 M-6 M13 M
Cash from disc. financing activities-1 M-504000.0
Cash from disc. investing activities-10000.0-3000.0
CashFlowFromContinuingInvestingActivities-2.0-8500.0-437000.0-3 M-1 M-4 M-2 M
CashFromDiscontinuedOperatingActivities333000.0-995000.0511000.0
ChangeInAccountPayable1371.025558.0-7115.0-3 M508000.0121000.018 M8 M
ChangeInIncomeTaxPayable-1 M45000.0518000.0-119000.0-533000.0
ChangeInPayablesAndAccruedExpense-17415.0-9634.01371.025558.0-7115.0-5 M553000.0639000.018 M7 M
ChangeInTaxPayable-1 M45000.0518000.0-119000.0-533000.0
ChangeInWorkingCapital-17844.0-9022.01122.020733.0-3062.0-9 M1 M3 M-7 M-863000.0
ChangesInAccountReceivables-249.0-4825.04053.0-7 M2 M-4 M-38 M-4 M
CommonStockPayments-6 M
Current deferred income taxes-76000.0103000.0233000.0-614000.0-2 M
Deferred income taxes-76000.0103000.0233000.0-614000.0-2 M
Depreciation3 M7 M8 M
Depreciation unreconciled3 M8 M8 M28 M40 M
DepreciationAndAmortization3 M8 M8 M28 M40 M
Effect of exchange rate changes142000.0151000.0-417000.0567000.0203000.0
FinancingCashFlow315277.034325.0156617.03 M140000.09 M-13 M-11 M17 M-16 M
Free cash flow-181700.0-170134.0-147547.0-172649.0-111534.0-9 M16 M23 M-10 M
GainLossOnInvestmentSecurities315000.0-31 M-21 M
GainLossOnSaleOfPPE11000.0375000.01000.0
Issuance of capital stock174000.0167900.02 M10 M
Issuance of debt7 M-6 M-9 M60 M37 M
IssuanceOfCapitalStock174000.0167900.02 M10 M
IssuanceOfDebt9 M-13 M-14 M16 M-18 M
Net cash from financing activities315277.034325.0156617.03 M140000.010 M-12 M-11 M17 M-16 M
Net cash from investing activities-2.0-8500.0-447000.0-3 M-1 M-4 M-2 M
Net cash from operating activities-181700.0-170134.0-147547.0-172649.0-111534.0-9 M16 M23 M-6 M13 M
Net change in cash & cash equivalents133575.0-135809.0570.02 M28466.0544000.0-610000.010 M7 M-5 M
Net income from continuing operations-193340.0-161112.0-148669.0-269889.0-108472.0-2 M4 M6 M4 M-5 M
NetBusinessPurchaseAndSale2 M
NetCapitalExpenditureDisposals-4 M-2 M
NetCommonStockIssuance174000.0167900.02 M4 M
NetForeignCurrencyExchangeGainLoss-123000.0-156000.0-989000.0578000.0363000.0
NetIssuancePaymentsOfDebt9 M-13 M-14 M16 M-18 M
NetLongTermDebtIssuance2 M-7 M-6 M-44 M-55 M
NetPPEPurchaseAndSale-2.0-8500.0-3 M-3 M-1 M-4 M-2 M
NetPreferredStockIssuance-1 M
Operating (gains) losses-123000.0-145000.0-614000.0-30 M-21 M
Other financing charges net141277.0-133575.0156617.0-216778.0-1 M
Other non-cash items-13 M-14 M-15 M1 M2 M
Payment of cash dividends386000.0
PreferredStockDividendPaid-386000.0
PreferredStockPayments-1 M
ProceedsFromIssuanceOfWarrants929000.0
ProceedsFromStockOptionExercised422500.0140000.0189000.020000.03 M929000.01 M
Purchase of short term investments8 M1 M1 M
PurchaseOfPPE-2.0-8500.0-3 M-3 M-1 M-4 M-2 M
Repayment of debt-6 M-8 M-7 M-44 M-55 M
RepaymentOfDebt-51 M-63 M-70 M-44 M
Repurchase of capital stock-6 M
Revenue per share637000.0270000.0270000.028 M40 M
SaleOfBusiness2 M
SaleOfPPE16000.070000.0
ShortTermDebtIssuance51 M49 M54 M60 M37 M
ShortTermDebtPayments-44 M-55 M-63 M
StockBasedCompensation62546.02 M683000.01 M938000.0834000.0
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