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Lotte Chemical Titan Holding Bhd
KLSE:LCTITAN

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Lotte Chemical Titan Holding Bhd
KLSE:LCTITAN
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Price: 0.725 MYR 2.11% Market Closed
Market Cap: 1.7B MYR
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Cash Flow Statement

Cash Flow Statement
Lotte Chemical Titan Holding Bhd

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Cash Flow Statement
Currency: MYR
Dec-2008 Mar-2009 Jun-2009 Sep-2009 Dec-2009 Mar-2010 Jun-2010 Sep-2010 Jun-2016 Sep-2016 Dec-2016 Jun-2017 Sep-2017 Dec-2017 Mar-2018 Jun-2018 Sep-2018 Dec-2018 Mar-2019 Jun-2019 Sep-2019 Dec-2019 Mar-2020 Jun-2020 Sep-2020 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
(427)
(323)
(227)
(24)
611
578
481
265
633
1 069
1 710
1 373
1 182
1 141
1 440
1 286
1 258
849
638
417
334
503
208
179
144
204
977
1 356
1 406
1 333
872
190
(422)
(1 002)
(1 394)
(1 591)
(1 195)
(1 000)
(927)
(868)
(1 179)
Depreciation & Amortization
282
291
298
302
290
291
291
289
(3)
93
398
405
419
434
553
458
474
499
537
574
607
625
603
590
573
558
562
560
556
556
554
557
570
584
584
563
538
511
501
510
521
Other Non-Cash Items
296
276
165
40
62
74
210
184
(50)
(31)
95
122
121
40
(1)
(118)
(132)
(46)
(35)
32
(20)
(232)
(160)
(168)
(56)
77
(38)
(37)
(129)
(205)
(219)
(83)
47
165
231
203
(11)
13
47
58
324
Cash Taxes Paid
2
4
4
1
(1)
(1)
(1)
1
3
(2)
15
17
23
18
25
22
28
40
39
36
33
19
12
18
21
16
21
20
18
66
103
149
149
102
69
20
25
11
8
9
1
Cash Interest Paid
83
87
76
34
55
48
21
48
7
5
7
2
6
5
6
5
4
4
4
4
4
6
6
6
6
7
8
9
7
7
7
7
8
6
8
12
16
234
237
533
537
Change in Working Capital
115
271
296
692
(266)
(282)
(336)
(215)
166
(52)
(235)
(270)
(71)
126
(28)
(331)
(593)
(429)
(230)
(98)
32
177
432
419
559
235
(140)
(297)
(381)
(517)
(275)
(303)
(319)
(97)
(216)
(295)
(78)
(70)
(328)
(134)
(378)
Cash from Operating Activities
266
N/A
516
+94%
532
+3%
1 010
+90%
697
-31%
661
-5%
646
-2%
523
-19%
746
+43%
1 079
+45%
1 969
+82%
1 630
-17%
1 650
+1%
1 741
+6%
1 964
+13%
1 294
-34%
1 007
-22%
873
-13%
910
+4%
926
+2%
951
+3%
1 073
+13%
1 084
+1%
1 020
-6%
1 220
+20%
1 074
-12%
1 361
+27%
1 583
+16%
1 453
-8%
1 168
-20%
932
-20%
361
-61%
(124)
N/A
(349)
-181%
(794)
-128%
(1 120)
-41%
(746)
+33%
(546)
+27%
(707)
-30%
(434)
+39%
(712)
-64%
Investing Cash Flow
Capital Expenditures
(116)
(106)
(115)
(98)
(76)
(78)
(85)
(105)
(195)
(501)
(1 001)
(1 458)
(1 643)
(1 471)
(1 589)
(1 032)
(751)
(681)
(696)
(685)
(559)
(537)
(794)
(817)
(865)
(826)
(551)
(430)
(448)
(472)
(1 895)
(2 654)
(3 154)
(4 353)
(3 922)
(4 428)
(5 513)
(6 375)
(6 211)
(5 355)
(4 295)
Other Items
44
208
171
164
171
1
1
1
(697)
(1 384)
(1 381)
(1 444)
(726)
(1 951)
(1 932)
(769)
(809)
192
66
(192)
(218)
(1 002)
(924)
(1 074)
(1 043)
105
(105)
(257)
(326)
202
1 445
2 443
2 870
2 792
1 798
966
614
(187)
(193)
(489)
(480)
Cash from Investing Activities
(71)
N/A
102
N/A
56
-45%
66
+18%
95
+44%
(77)
N/A
(84)
-9%
(104)
-24%
(891)
-758%
(1 885)
-112%
(2 382)
-26%
(2 901)
-22%
(2 369)
+18%
(3 422)
-44%
(3 521)
-3%
(1 801)
+49%
(1 560)
+13%
(489)
+69%
(630)
-29%
(877)
-39%
(777)
+11%
(1 538)
-98%
(1 718)
-12%
(1 890)
-10%
(1 908)
-1%
(720)
+62%
(656)
+9%
(687)
-5%
(775)
-13%
(270)
+65%
(450)
-67%
(211)
+53%
(284)
-35%
(1 562)
-450%
(2 124)
-36%
(3 462)
-63%
(4 899)
-42%
(6 562)
-34%
(6 404)
+2%
(5 844)
+9%
(4 774)
+18%
Financing Cash Flow
Net Issuance of Common Stock
(3)
0
(1)
(11)
(18)
(21)
(20)
(10)
0
0
0
0
3 544
3 544
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
Net Issuance of Debt
41
(490)
(696)
(947)
(856)
(490)
(378)
(402)
310
276
(68)
(70)
(73)
(73)
(73)
(36)
0
0
(3)
(13)
(16)
(25)
(26)
(23)
(21)
(12)
(11)
(8)
(12)
(12)
(12)
(11)
(10)
(27)
130
2 195
4 008
6 414
7 356
6 302
5 242
Cash Paid for Dividends
(52)
0
0
0
0
0
(78)
(78)
78
78
0
(120)
(120)
(120)
(120)
(523)
(523)
(523)
0
(386)
(386)
(386)
0
(159)
(159)
(159)
0
(64)
(64)
(474)
0
(888)
(888)
(797)
0
(318)
(318)
0
0
0
0
Other
(59)
(63)
(59)
(58)
(48)
(46)
(38)
(31)
20
19
(2)
(1)
(81)
(84)
(84)
(83)
(4)
(0)
0
0
0
66
170
204
204
162
78
44
79
135
968
1 325
1 594
2 142
1 886
1 056
747
114
(488)
(24)
(29)
Cash from Financing Activities
(74)
N/A
(605)
-721%
(756)
-25%
(1 016)
-34%
(922)
+9%
(557)
+40%
(514)
+8%
(521)
-1%
410
N/A
376
-8%
(70)
N/A
(192)
-173%
3 270
N/A
3 267
0%
3 267
0%
2 901
-11%
(527)
N/A
(523)
+1%
(526)
-1%
(399)
+24%
(402)
-1%
(345)
+14%
(242)
+30%
22
N/A
24
+12%
(9)
N/A
(92)
-917%
(27)
+70%
3
N/A
(351)
N/A
482
N/A
425
-12%
696
+64%
1 319
+90%
1 219
-8%
2 932
+140%
4 436
+51%
6 528
+47%
6 868
+5%
6 278
-9%
5 213
-17%
Change in Cash
Effect of Foreign Exchange Rates
(19)
(15)
(9)
(18)
2
(2)
(6)
0
(98)
(61)
13
86
32
(252)
(437)
(221)
(97)
27
187
21
(79)
(45)
91
(16)
(89)
(76)
(117)
(53)
12
27
(35)
48
124
54
52
34
(52)
35
29
(32)
(76)
Net Change in Cash
102
N/A
(2)
N/A
(178)
-8 790%
43
N/A
(129)
N/A
26
N/A
42
+64%
(102)
N/A
166
N/A
(491)
N/A
(471)
+4%
(1 377)
-193%
2 584
N/A
1 334
-48%
1 273
-5%
2 173
+71%
(1 176)
N/A
(112)
+90%
(60)
+47%
(329)
-451%
(307)
+7%
(856)
-179%
(786)
+8%
(865)
-10%
(753)
+13%
269
N/A
497
+85%
815
+64%
693
-15%
574
-17%
928
+62%
622
-33%
412
-34%
(537)
N/A
(1 648)
-207%
(1 616)
+2%
(1 262)
+22%
(544)
+57%
(214)
+61%
(32)
+85%
(349)
-980%
Free Cash Flow
Free Cash Flow
150
N/A
409
+172%
417
+2%
912
+119%
621
-32%
583
-6%
561
-4%
418
-25%
551
+32%
578
+5%
968
+67%
172
-82%
8
-96%
270
+3 412%
375
+39%
262
-30%
256
-2%
192
-25%
214
+11%
241
+13%
393
+63%
536
+37%
289
-46%
204
-30%
355
+75%
248
-30%
810
+227%
1 152
+42%
1 005
-13%
696
-31%
(964)
N/A
(2 293)
-138%
(3 278)
-43%
(4 702)
-43%
(4 716)
0%
(5 548)
-18%
(6 259)
-13%
(6 920)
-11%
(6 917)
+0%
(5 790)
+16%
(5 007)
+14%

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