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Petronas Chemicals Group Bhd
KLSE:PCHEM

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Petronas Chemicals Group Bhd
KLSE:PCHEM
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Price: 4.76 MYR -1.86%
Market Cap: 38.1B MYR
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Cash Flow Statement

Cash Flow Statement
Petronas Chemicals Group Bhd

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Cash Flow Statement
Currency: MYR
Sep-2014 Dec-2014 Mar-2015 Jun-2015 Sep-2015 Dec-2015 Mar-2016 Jun-2016 Sep-2016 Dec-2016 Mar-2017 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
0
0
0
0
0
0
0
0
0
0
1 636
2 798
3 914
5 236
4 936
5 269
5 495
5 756
5 313
5 067
4 369
3 155
2 830
1 872
1 707
1 857
2 858
4 545
6 095
7 710
8 354
8 315
8 306
6 733
5 110
3 865
2 431
2 110
2 325
2 571
1 328
Depreciation & Amortization
0
0
0
0
0
0
0
0
0
0
349
752
1 166
1 589
1 651
1 648
1 649
1 619
1 615
1 620
1 609
1 659
1 660
1 675
1 695
1 670
1 664
1 646
1 639
1 650
1 637
1 594
1 531
1 589
1 684
1 807
1 944
1 978
2 026
2 073
2 201
Other Non-Cash Items
0
0
0
0
0
0
0
0
0
0
(29)
(70)
(166)
(185)
(88)
(117)
(165)
(345)
(434)
(534)
(399)
(316)
(469)
(369)
(342)
18
(121)
(256)
(603)
(907)
(855)
(864)
(1 323)
(968)
(515)
(567)
12
(267)
(677)
(959)
451
Cash Taxes Paid
(813)
(881)
(882)
(863)
(940)
(724)
(668)
(652)
(668)
(799)
(480)
(263)
106
617
593
598
550
443
356
292
309
341
283
245
236
204
260
295
254
197
225
220
228
462
440
445
647
423
427
432
388
Cash Interest Paid
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
51
0
0
0
108
126
143
160
119
119
134
143
79
78
66
90
110
135
171
144
215
195
230
280
Change in Working Capital
3 484
4 195
4 082
3 603
4 516
4 334
4 553
4 464
4 081
3 958
2 470
1 639
232
(1 329)
(920)
(1 107)
(775)
(363)
(23)
130
618
1 046
886
1 049
(22)
(530)
(759)
(1 268)
(755)
(268)
(240)
148
455
695
777
1 118
993
1 298
1 364
640
613
Cash from Operating Activities
3 484
N/A
4 195
+20%
4 082
-3%
3 603
-12%
4 516
+25%
4 334
-4%
4 553
+5%
4 464
-2%
4 081
-9%
3 958
-3%
4 426
+12%
5 119
+16%
5 146
+1%
5 311
+3%
5 579
+5%
5 693
+2%
6 204
+9%
6 667
+7%
6 471
-3%
6 283
-3%
6 197
-1%
5 544
-11%
4 907
-11%
4 227
-14%
3 038
-28%
3 015
-1%
3 642
+21%
4 667
+28%
6 376
+37%
8 185
+28%
8 896
+9%
9 193
+3%
8 969
-2%
8 049
-10%
7 056
-12%
6 223
-12%
5 380
-14%
5 119
-5%
5 038
-2%
4 325
-14%
4 593
+6%
Investing Cash Flow
Capital Expenditures
(2 475)
(2 818)
(2 845)
(2 688)
(2 862)
(2 858)
(2 773)
(2 974)
(3 319)
(3 428)
(3 532)
(3 617)
(3 958)
(3 446)
(3 880)
(3 506)
(2 969)
(2 913)
(2 425)
(2 363)
(2 374)
(2 351)
(2 145)
(2 116)
(1 553)
(1 476)
(1 469)
(1 317)
(1 591)
(1 538)
(1 505)
(1 703)
(1 763)
(1 881)
(1 955)
(1 927)
(1 946)
(2 352)
(2 453)
(2 568)
(2 710)
Other Items
137
91
61
(96)
(107)
(749)
(122)
41
(15)
604
(24)
(30)
(1)
76
1 072
1 078
1 077
1 074
108
108
(650)
(676)
(706)
(706)
38
32
29
(26)
(88)
(18)
(36)
89
102
(11 070)
(11 049)
(11 376)
(11 300)
(241)
(413)
(182)
(220)
Cash from Investing Activities
(2 338)
N/A
(2 727)
-17%
(2 784)
-2%
(2 784)
N/A
(2 969)
-7%
(3 607)
-21%
(2 895)
+20%
(2 933)
-1%
(3 334)
-14%
(2 824)
+15%
(3 556)
-26%
(3 647)
-3%
(3 959)
-9%
(3 370)
+15%
(2 808)
+17%
(2 428)
+14%
(1 892)
+22%
(1 839)
+3%
(2 317)
-26%
(2 255)
+3%
(3 024)
-34%
(3 027)
0%
(2 851)
+6%
(2 822)
+1%
(1 515)
+46%
(1 444)
+5%
(1 440)
+0%
(1 343)
+7%
(1 679)
-25%
(1 556)
+7%
(1 541)
+1%
(1 614)
-5%
(1 661)
-3%
(12 951)
-680%
(13 004)
0%
(13 303)
-2%
(13 246)
+0%
(2 593)
+80%
(2 866)
-11%
(2 750)
+4%
(2 930)
-7%
Financing Cash Flow
Net Issuance of Common Stock
0
0
(111)
(111)
(111)
(111)
(11)
(11)
(11)
(11)
0
0
0
7
0
0
0
0
1
1
5
5
8
8
4
4
0
4
4
4
0
0
0
0
0
0
0
0
0
0
0
Net Issuance of Debt
(25)
(55)
(72)
(65)
(45)
(25)
(40)
(54)
(62)
(63)
(71)
(71)
(79)
(78)
3 831
3 831
3 831
3 837
(54)
(79)
(100)
(257)
(10)
2
31
287
29
107
162
97
234
238
205
148
6
(117)
(168)
(40)
(205)
302
396
Cash Paid for Dividends
(1 600)
(1 600)
(1 280)
(1 280)
(1 280)
(1 280)
(1 440)
(1 440)
(1 360)
(1 360)
(1 520)
(1 520)
(1 920)
(1 920)
(2 160)
(2 160)
(2 320)
(2 320)
(2 560)
(2 560)
(2 320)
(2 320)
(1 440)
(1 440)
(960)
(960)
(960)
(960)
(2 400)
(3 200)
(4 480)
(4 480)
(4 640)
(3 840)
(3 280)
(3 280)
(1 920)
(1 920)
(1 040)
(1 040)
(1 200)
Other
(247)
(170)
(213)
(201)
(201)
(146)
(316)
(524)
(591)
(1 328)
(1 223)
(1 052)
(1 166)
(554)
(1 076)
(1 001)
(820)
(685)
(118)
(114)
(114)
(186)
(141)
(158)
(175)
(123)
(123)
(138)
(147)
(85)
(84)
(72)
(100)
(114)
(139)
(175)
(144)
(215)
(229)
(266)
(312)
Cash from Financing Activities
(1 872)
N/A
(1 825)
+3%
(1 676)
+8%
(1 657)
+1%
(1 637)
+1%
(1 562)
+5%
(1 807)
-16%
(2 029)
-12%
(2 024)
+0%
(2 762)
-36%
(2 814)
-2%
(2 643)
+6%
(3 165)
-20%
(2 545)
+20%
602
N/A
677
+12%
698
+3%
832
+19%
(2 731)
N/A
(2 752)
-1%
(2 529)
+8%
(2 758)
-9%
(1 583)
+43%
(1 588)
0%
(1 100)
+31%
(792)
+28%
(1 054)
-33%
(987)
+6%
(2 381)
-141%
(3 184)
-34%
(4 326)
-36%
(4 314)
+0%
(4 535)
-5%
(3 806)
+16%
(3 413)
+10%
(3 572)
-5%
(2 232)
+38%
(2 175)
+3%
(1 474)
+32%
(1 004)
+32%
(1 116)
-11%
Change in Cash
Effect of Foreign Exchange Rates
6
9
40
53
(256)
(265)
(371)
(353)
(20)
324
383
300
288
(125)
(149)
(116)
(92)
(5)
(12)
130
85
(43)
350
163
(24)
(117)
(232)
(161)
107
238
90
677
1 348
1 206
1 278
798
56
29
(57)
(217)
(873)
Net Change in Cash
(720)
N/A
(348)
+52%
(338)
+3%
(785)
-132%
(346)
+56%
(1 100)
-218%
(520)
+53%
(851)
-64%
(1 297)
-52%
(1 304)
-1%
(1 561)
-20%
(871)
+44%
(1 690)
-94%
(729)
+57%
3 224
N/A
3 826
+19%
4 918
+29%
5 655
+15%
1 411
-75%
1 406
0%
729
-48%
(284)
N/A
823
N/A
(20)
N/A
399
N/A
662
+66%
916
+38%
2 176
+138%
2 423
+11%
3 683
+52%
3 119
-15%
3 942
+26%
4 121
+5%
(7 502)
N/A
(8 083)
-8%
(9 854)
-22%
(10 042)
-2%
380
N/A
641
+69%
354
-45%
(326)
N/A
Free Cash Flow
Free Cash Flow
1 009
N/A
1 377
+36%
1 237
-10%
915
-26%
1 654
+81%
1 476
-11%
1 780
+21%
1 490
-16%
762
-49%
530
-30%
894
+69%
1 502
+68%
1 188
-21%
1 865
+57%
1 699
-9%
2 187
+29%
3 235
+48%
3 754
+16%
4 046
+8%
3 920
-3%
3 823
-2%
3 193
-16%
2 762
-13%
2 111
-24%
1 485
-30%
1 539
+4%
2 173
+41%
3 350
+54%
4 785
+43%
6 647
+39%
7 391
+11%
7 490
+1%
7 206
-4%
6 168
-14%
5 101
-17%
4 296
-16%
3 434
-20%
2 767
-19%
2 585
-7%
1 757
-32%
1 883
+7%

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