NWS Holdings Ltd Cash Flow Statement - NWS Holdings Ltd - Alpha Spread

NWS Holdings Ltd
HKEX:659

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NWS Holdings Ltd
HKEX:659
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Price: 8 HKD 0.5% Market Closed
Market Cap: 32B HKD
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Cash Flow Statement

Cash Flow Statement
NWS Holdings Ltd

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Cash Flow Statement
Currency: HKD
Dec-2003 Jun-2004 Dec-2004 Jun-2005 Dec-2005 Jun-2006 Dec-2006 Jun-2007 Dec-2007 Jun-2008 Dec-2008 Jun-2009 Dec-2009 Jun-2010 Dec-2010 Jun-2011 Dec-2011 Jun-2012 Dec-2012 Jun-2013 Dec-2013 Jun-2014 Dec-2014 Jun-2015 Dec-2015 Jun-2016 Dec-2016 Jun-2017 Dec-2017 Jun-2018 Dec-2018 Jun-2019 Dec-2019 Jun-2020 Dec-2020 Jun-2021 Dec-2021 Jun-2022 Dec-2022 Jun-2023 Dec-2023
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
3 556
1 623
3 911
4 211
3 950
4 066
3 433
3 210
5 126
4 668
2 655
2 735
960
359
1 768
2 406
3 435
3 422
3 428
3 683
Depreciation & Amortization
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
907
498
998
1 000
1 024
1 038
1 203
1 410
1 487
1 484
1 482
1 763
1 933
2 053
2 059
1 918
1 722
1 659
1 809
1 785
Other Non-Cash Items
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
(1 181)
(349)
(1 480)
(1 840)
(1 581)
(1 713)
(1 003)
(560)
(2 530)
(2 464)
(923)
(1 403)
(733)
(1 673)
(2 840)
(2 364)
(772)
(328)
(2 358)
2 701
Cash Taxes Paid
0
116
0
0
0
100
0
77
0
113
0
236
0
201
0
276
0
670
0
0
0
708
159
578
864
749
718
701
620
652
629
880
1 052
831
679
703
697
630
750
841
1 018
Cash Interest Paid
0
281
0
0
0
218
0
206
0
289
0
214
0
78
0
67
0
491
0
0
0
612
282
554
559
543
485
440
346
250
262
331
831
1 440
1 541
1 441
1 349
1 275
1 380
1 510
1 532
Change in Working Capital
1 055
225
875
257
(396)
513
637
530
522
1 311
1 657
1 031
967
2 048
1 847
758
1 890
1 754
1 679
2 475
3 692
(118)
(749)
(634)
232
201
(545)
(675)
(334)
346
993
(1 098)
(3 023)
(2 388)
(592)
(1 089)
542
164
(1 968)
2 407
(3 819)
Cash from Operating Activities
1 055
N/A
225
-79%
875
+290%
257
-71%
(396)
N/A
513
N/A
637
+24%
530
-17%
522
-1%
1 311
+151%
1 657
+26%
1 031
-38%
967
-6%
2 048
+112%
1 847
-10%
758
-59%
1 890
+149%
1 754
-7%
1 679
-4%
2 475
+47%
3 692
+49%
3 165
-14%
1 024
-68%
2 795
+173%
3 603
+29%
3 594
0%
2 847
-21%
2 958
+4%
3 726
+26%
4 429
+19%
4 682
+6%
2 117
-55%
72
-97%
(229)
N/A
146
N/A
(103)
N/A
2 502
N/A
4 548
+82%
2 785
-39%
5 285
+90%
4 351
-18%
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
(223)
(44)
(281)
(773)
(671)
(180)
(688)
(869)
(536)
(740)
(648)
(5 991)
(5 962)
(417)
(404)
(406)
(680)
(827)
(517)
(393)
Other Items
(3 926)
2 609
1 280
2 604
3 372
237
294
(250)
(2 750)
(2 776)
(1 193)
2 881
6 066
1 109
(1 360)
(3 532)
(9 363)
(6 103)
(1 116)
1 164
648
(1 379)
4 642
2 666
(2 327)
213
2 244
3 092
1 415
2 043
461
(2 868)
(10 516)
(7 427)
5 417
6 344
7 709
3 497
4 042
4 958
(203)
Cash from Investing Activities
(3 926)
N/A
2 609
N/A
1 280
-51%
2 604
+104%
3 372
+29%
237
-93%
294
+24%
(250)
N/A
(2 750)
-1 001%
(2 776)
-1%
(1 193)
+57%
2 881
N/A
6 066
+111%
1 109
-82%
(1 360)
N/A
(3 532)
-160%
(9 363)
-165%
(6 103)
+35%
(1 116)
+82%
1 164
N/A
648
-44%
(1 602)
N/A
4 598
N/A
2 386
-48%
(3 100)
N/A
(458)
+85%
2 064
N/A
2 404
+16%
546
-77%
1 507
+176%
(279)
N/A
(3 516)
-1 159%
(16 508)
-370%
(13 389)
+19%
5 000
N/A
5 940
+19%
7 303
+23%
2 817
-61%
3 215
+14%
4 441
+38%
(596)
N/A
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
71
159
116
115
207
119
0
0
0
0
0
(6)
(5)
12
Net Issuance of Debt
4 767
(1 869)
(1 265)
(2 713)
(3 157)
(1 981)
(1 677)
297
3 506
2 284
(616)
(2 737)
(2 719)
(2 602)
(2 486)
1 613
8 883
5 027
(1 420)
(1 157)
(2 078)
(40)
(2 410)
(910)
1 762
(1 754)
(3 440)
(5 726)
(2 836)
444
197
4 854
13 638
11 606
(3 635)
(4 751)
(5 689)
(1 117)
3 564
(529)
1 735
Cash Paid for Dividends
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
(1 520)
(628)
(1 395)
(1 707)
(1 817)
(1 864)
(1 947)
(5 283)
(5 570)
(3 042)
(2 927)
(2 267)
(2 269)
(2 269)
(2 269)
(2 308)
(2 347)
(2 386)
(2 385)
(2 386)
Other
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
(58)
(30)
(89)
(75)
(587)
(666)
(140)
(70)
(104)
(81)
7 738
10 288
2 722
(896)
(1 564)
(1 206)
(1 187)
(889)
(761)
(667)
Cash from Financing Activities
4 767
N/A
(1 869)
N/A
(1 265)
+32%
(2 713)
-115%
(3 157)
-16%
(1 981)
+37%
(1 677)
+15%
297
N/A
3 506
+1 080%
2 284
-35%
(616)
N/A
(2 737)
-344%
(2 719)
+1%
(2 602)
+4%
(2 486)
+4%
1 613
N/A
8 883
+451%
5 027
-43%
(1 420)
N/A
(1 157)
+18%
(2 078)
-80%
(1 618)
+22%
(3 068)
-90%
(2 394)
+22%
(20)
+99%
(4 158)
-20 587%
(5 970)
-44%
(7 743)
-30%
(8 030)
-4%
(5 115)
+36%
(2 811)
+45%
9 871
N/A
21 779
+121%
12 059
-45%
(6 800)
N/A
(8 583)
-26%
(9 202)
-7%
(4 651)
+49%
284
N/A
(3 680)
N/A
(1 307)
+64%
Change in Cash
Effect of Foreign Exchange Rates
0
0
0
0
3
3
20
42
54
138
107
0
0
0
44
132
101
20
67
67
35
(74)
(80)
0
(386)
(490)
(290)
(76)
160
39
(83)
(70)
(64)
(120)
118
222
90
(92)
(270)
(255)
(81)
Net Change in Cash
1 896
N/A
965
-49%
890
-8%
148
-83%
(177)
N/A
(1 229)
-593%
(726)
+41%
620
N/A
1 333
+115%
956
-28%
(45)
N/A
1 176
N/A
4 314
+267%
554
-87%
(1 956)
N/A
(1 028)
+47%
1 511
N/A
699
-54%
(788)
N/A
2 549
N/A
2 296
-10%
(129)
N/A
2 474
N/A
2 787
+13%
96
-97%
(1 513)
N/A
(1 349)
+11%
(2 456)
-82%
(3 598)
-46%
860
N/A
1 509
+75%
8 402
+457%
5 280
-37%
(1 678)
N/A
(1 536)
+8%
(2 524)
-64%
693
N/A
2 622
+278%
6 013
+129%
5 792
-4%
2 368
-59%
Free Cash Flow
Free Cash Flow
1 055
N/A
225
-79%
875
+290%
257
-71%
(396)
N/A
513
N/A
637
+24%
530
-17%
522
-1%
1 311
+151%
1 657
+26%
1 031
-38%
967
-6%
2 048
+112%
1 847
-10%
758
-59%
1 890
+149%
1 754
-7%
1 679
-4%
2 475
+47%
3 692
+49%
2 942
-20%
980
-67%
2 514
+156%
2 829
+13%
2 923
+3%
2 667
-9%
2 270
-15%
2 857
+26%
3 892
+36%
3 942
+1%
1 469
-63%
(5 919)
N/A
(6 191)
-5%
(271)
+96%
(507)
-87%
2 097
N/A
3 868
+85%
1 958
-49%
4 769
+144%
3 957
-17%

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