Anadolu Isuzu Otomotiv Sanayii ve Ticaret AS
IST:ASUZU.E

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Anadolu Isuzu Otomotiv Sanayii ve Ticaret AS
IST:ASUZU.E
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Price: 65.6 TRY -1.43% Market Closed
Market Cap: 16.5B TRY
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Cash Flow Statement

Cash Flow Statement
Anadolu Isuzu Otomotiv Sanayii ve Ticaret AS

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Cash Flow Statement
Currency: TRY
Dec-2020 Mar-2021 Jun-2021 Sep-2021 Dec-2021 Mar-2022 Jun-2022 Sep-2022 Dec-2022 Mar-2023 Jun-2023 Sep-2023 Dec-2023 Mar-2024 Jun-2024 Sep-2024
Operating Cash Flow
Net Income
14
39
69
90
211
309
439
703
617
752
936
1 139
1 614
1 772
1 456
912
Depreciation & Amortization
44
46
48
51
54
59
64
71
311
93
111
132
381
478
644
875
Other Non-Cash Items
142
109
102
91
118
226
309
245
343
212
145
577
(297)
(486)
(353)
(1 742)
Cash Taxes Paid
1
2
1
1
1
2
3
2
3
1
29
56
73
86
59
32
Cash Interest Paid
45
41
47
55
69
82
114
141
311
199
231
339
581
887
1 357
1 466
Change in Working Capital
13
(17)
3
189
9
(229)
(700)
(1 439)
(658)
(1 025)
(887)
(1 122)
(1 788)
(1 337)
(2 415)
(908)
Cash from Operating Activities
212
N/A
177
-17%
222
+26%
422
+90%
392
-7%
366
-7%
113
-69%
(420)
N/A
780
N/A
31
-96%
306
+882%
726
+137%
(90)
N/A
427
N/A
(668)
N/A
(863)
-29%
Investing Cash Flow
Capital Expenditures
(92)
(90)
(100)
(103)
(118)
(134)
(176)
(263)
(583)
(457)
(429)
(447)
(840)
(916)
(1 099)
(1 273)
Other Items
6
6
6
6
1
(105)
(108)
(150)
(400)
88
59
104
371
186
(283)
(947)
Cash from Investing Activities
(86)
N/A
(84)
+2%
(94)
-11%
(97)
-3%
(117)
-21%
(239)
-104%
(284)
-19%
(412)
-45%
(982)
-138%
(369)
+62%
(370)
0%
(344)
+7%
(468)
-36%
(730)
-56%
(1 382)
-89%
(2 219)
-61%
Financing Cash Flow
Net Issuance of Debt
37
(197)
(126)
(112)
151
531
625
675
1 821
994
1 265
1 773
3 203
1 499
1 563
2 892
Cash Paid for Dividends
0
0
0
0
0
0
(30)
(30)
(57)
0
(200)
(200)
(286)
0
(611)
(658)
Other
(37)
(29)
(36)
(39)
(54)
(62)
(89)
(118)
(870)
(82)
(85)
(153)
(1 190)
(1 724)
(1 589)
(1 743)
Cash from Financing Activities
(0)
N/A
(225)
-107 361%
(162)
+28%
(152)
+6%
97
N/A
469
+383%
506
+8%
526
+4%
893
+70%
882
-1%
980
+11%
1 419
+45%
1 727
+22%
(511)
N/A
(637)
-25%
491
N/A
Change in Cash
Net Change in Cash
126
N/A
(132)
N/A
(33)
+75%
173
N/A
372
+115%
596
+60%
335
-44%
(306)
N/A
691
N/A
545
-21%
916
+68%
1 802
+97%
1 169
-35%
(813)
N/A
(2 688)
-230%
(2 592)
+4%
Free Cash Flow
Free Cash Flow
120
N/A
87
-27%
122
+40%
319
+161%
275
-14%
232
-16%
(62)
N/A
(683)
-993%
197
N/A
(426)
N/A
(124)
+71%
279
N/A
(929)
N/A
(488)
+47%
(1 768)
-262%
(2 135)
-21%

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