Altron Ltd
F:RY7A

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Altron Ltd
F:RY7A
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Price: 1.02 EUR Market Closed
Market Cap: 386.7m EUR
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Cash Flow Statement

Cash Flow Statement
Altron Ltd

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Cash Flow Statement
Currency: ZAR
Feb-2004 Aug-2004 Feb-2005 Aug-2005 Feb-2006 Aug-2006 Feb-2007 Aug-2007 Feb-2008 Aug-2008 Feb-2009 Aug-2009 Feb-2010 Aug-2010 Feb-2011 Aug-2011 Feb-2012 Aug-2012 Feb-2013 Aug-2013 Feb-2014 Aug-2014 Feb-2015 Aug-2015 Feb-2016 Aug-2016 Feb-2017 Aug-2017 Feb-2018 Aug-2018 Feb-2019 Aug-2019 Feb-2020 Aug-2020 Feb-2021 Aug-2021 Feb-2022 Aug-2022 Feb-2023 Aug-2023 Feb-2024
Operating Cash Flow
Net Income
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
827
0
(74)
0
618
0
791
0
1 095
0
1 084
0
969
0
440
0
346
0
210
Depreciation & Amortization
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
556
0
186
0
222
0
252
0
312
0
494
0
488
0
379
0
368
0
305
Other Non-Cash Items
0
0
6
0
0
0
0
0
0
0
0
0
0
0
0
0
(149)
(179)
(519)
(489)
(63)
0
320
0
1 926
0
468
0
191
0
181
0
246
0
271
0
328
0
407
0
757
Cash Taxes Paid
295
335
266
315
350
377
531
436
537
737
666
576
522
525
419
604
599
364
380
360
270
199
253
223
256
251
96
132
142
100
147
202
169
260
226
94
94
61
50
66
131
Cash Interest Paid
26
0
48
0
54
0
38
0
72
0
276
0
171
0
162
0
125
0
0
0
0
0
454
0
678
0
557
214
417
380
374
394
397
371
324
264
241
249
251
262
245
Change in Working Capital
795
507
744
485
819
817
10
702
1 304
566
646
1 184
1 290
1 330
1 077
322
298
639
1 135
1 429
710
788
(534)
1 147
(905)
654
(1 126)
543
(652)
771
(693)
343
(801)
1 099
(183)
1 545
(767)
918
(132)
1 084
(47)
Cash from Operating Activities
795
N/A
545
-31%
750
+38%
491
-35%
819
+67%
817
0%
10
-99%
702
+6 920%
1 304
+86%
566
-57%
646
+14%
1 184
+83%
1 290
+9%
1 330
+3%
1 077
-19%
322
-70%
149
-54%
460
+209%
616
+34%
940
+53%
647
-31%
725
+12%
1 169
+61%
1 147
-2%
1 133
-1%
654
-42%
182
-72%
543
+198%
582
+7%
771
+32%
895
+16%
343
-62%
1 023
+198%
1 099
+7%
1 545
+41%
1 545
N/A
380
-75%
918
+142%
989
+8%
1 084
+10%
1 225
+13%
Investing Cash Flow
Capital Expenditures
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
(650)
0
(469)
0
(314)
(142)
(278)
(232)
(283)
(322)
(258)
(260)
(334)
(328)
(213)
(185)
(214)
(234)
(239)
Other Items
(327)
(788)
(1 381)
(993)
(62)
(51)
(467)
(633)
(1 532)
(2 499)
(1 904)
(1 087)
(1 239)
(1 060)
(686)
(601)
(905)
(972)
(1 154)
(3 261)
(2 866)
(1 436)
(368)
49
(652)
1 289
1 894
(347)
(693)
(508)
(125)
(95)
(12)
(349)
253
421
(297)
(387)
(347)
(285)
(294)
Cash from Investing Activities
(327)
N/A
(788)
-141%
(1 381)
-75%
(993)
+28%
(62)
+94%
(51)
+18%
(467)
-816%
(633)
-36%
(1 532)
-142%
(2 499)
-63%
(1 904)
+24%
(1 087)
+43%
(1 239)
-14%
(1 060)
+14%
(686)
+35%
(601)
+12%
(905)
-51%
(972)
-7%
(1 154)
-19%
(3 261)
-183%
(2 866)
+12%
(1 436)
+50%
(1 018)
+29%
(601)
+41%
(1 121)
-87%
1 289
N/A
1 580
+23%
(489)
N/A
(971)
-99%
(740)
+24%
(408)
+45%
(417)
-2%
(270)
+35%
(609)
-126%
(81)
+87%
93
N/A
(510)
N/A
(572)
-12%
(561)
+2%
(519)
+7%
(533)
-3%
Financing Cash Flow
Net Issuance of Common Stock
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
400
0
0
0
0
0
0
0
0
0
0
0
0
Net Issuance of Debt
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
911
0
(117)
0
(1 467)
(335)
(560)
(476)
(409)
(185)
(21)
(338)
(1 634)
(1 519)
(72)
(71)
(357)
(297)
(739)
Other
68
49
155
(27)
(122)
(128)
(120)
158
704
621
345
419
(18)
(223)
(307)
(86)
37
162
859
2 315
989
909
0
(2 211)
0
(1 572)
(12)
115
0
2
0
0
0
(34)
(84)
(50)
0
0
0
(4)
(4)
Cash from Financing Activities
68
N/A
49
-28%
155
+216%
(27)
N/A
(122)
-352%
(128)
-5%
(120)
+6%
158
N/A
704
+346%
621
-12%
345
-44%
419
+21%
(18)
N/A
(223)
-1 139%
(307)
-38%
(86)
+72%
37
N/A
162
+338%
859
+430%
2 315
+169%
989
-57%
909
-8%
453
-50%
(1 300)
N/A
(117)
+91%
(1 572)
-1 244%
(1 479)
+6%
188
N/A
(160)
N/A
(482)
-201%
(409)
+15%
(187)
+54%
(21)
+89%
(372)
-1 671%
(1 718)
-362%
(1 569)
+9%
(72)
+95%
(71)
+1%
(357)
-403%
(301)
+16%
(743)
-147%
Change in Cash
Effect of Foreign Exchange Rates
(42)
(33)
(8)
(6)
(3)
3
14
16
18
20
10
(12)
(39)
(44)
(5)
8
19
43
33
31
24
21
1
(6)
20
(38)
(192)
(122)
16
78
27
(45)
24
146
29
(112)
(3)
12
11
(6)
(6)
Net Change in Cash
494
N/A
(227)
N/A
(484)
-113%
(535)
-11%
632
N/A
641
+1%
(563)
N/A
243
N/A
494
+103%
(1 292)
N/A
(903)
+30%
504
N/A
(6)
N/A
3
N/A
79
+2 533%
(357)
N/A
(700)
-96%
(307)
+56%
354
N/A
25
-93%
(1 206)
N/A
219
N/A
605
+176%
(760)
N/A
(85)
+89%
333
N/A
91
-73%
120
+32%
(533)
N/A
(373)
+30%
105
N/A
(306)
N/A
756
N/A
264
-65%
(225)
N/A
(43)
+81%
(205)
-377%
287
N/A
82
-71%
258
+215%
(57)
N/A
Free Cash Flow
Free Cash Flow
795
N/A
545
-31%
750
+38%
491
-35%
819
+67%
817
0%
10
-99%
702
+6 920%
1 304
+86%
566
-57%
646
+14%
1 184
+83%
1 290
+9%
1 330
+3%
1 077
-19%
322
-70%
149
-54%
460
+209%
616
+34%
940
+53%
647
-31%
725
+12%
519
-28%
1 147
+121%
664
-42%
654
-2%
(132)
N/A
401
N/A
304
-24%
539
+77%
612
+14%
21
-97%
765
+3 543%
839
+10%
1 211
+44%
1 217
+0%
167
-86%
733
+339%
775
+6%
850
+10%
986
+16%

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