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Plan B Media PCL
SET:PLANB

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Plan B Media PCL
SET:PLANB
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Price: 7.15 THB 0.7% Market Closed
Market Cap: 30.6B THB
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Cash Flow Statement

Cash Flow Statement
Plan B Media PCL

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Cash Flow Statement
Currency: THB
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
244
270
290
391
476
507
520
482
495
425
462
490
524
568
622
659
759
876
993
1 035
996
1 054
858
537
297
153
89
74
(6)
8
132
474
783
927
943
989
1 091
1 194
1 275
1 350
1 393
Depreciation & Amortization
256
292
313
335
357
374
398
414
439
445
446
446
439
444
443
445
480
512
543
590
634
623
935
1 217
1 635
2 152
2 314
2 475
2 456
2 341
2 288
2 322
2 348
2 407
2 421
2 384
2 375
2 390
2 430
2 461
2 491
Other Non-Cash Items
51
54
49
34
20
2
(4)
2
12
22
27
28
19
15
9
2
0
(2)
6
0
1
(4)
11
(50)
(167)
(274)
(443)
(306)
(237)
(126)
3
(26)
75
152
246
284
302
310
291
293
271
Cash Taxes Paid
67
97
89
84
92
81
86
125
115
114
108
96
99
103
120
118
128
136
149
195
217
221
217
169
157
157
169
169
152
151
89
99
123
149
142
205
223
215
316
314
312
Cash Interest Paid
48
68
72
56
41
25
5
3
2
1
2
3
2
2
1
2
2
2
2
0
1
2
24
39
65
90
119
150
171
189
174
170
170
181
196
216
230
235
240
233
226
Change in Working Capital
(313)
(313)
(362)
(306)
(315)
(139)
(151)
(228)
(277)
(533)
(605)
(433)
(448)
(376)
(218)
(150)
(98)
(211)
(105)
(403)
(434)
(380)
(264)
371
530
416
407
(257)
(389)
(659)
(817)
(985)
(1 302)
(630)
(653)
(432)
(322)
(874)
(528)
(955)
(842)
Cash from Operating Activities
238
N/A
304
+28%
290
-5%
454
+56%
538
+19%
744
+38%
763
+3%
669
-12%
668
0%
358
-46%
329
-8%
531
+61%
534
+1%
652
+22%
856
+31%
957
+12%
1 142
+19%
1 175
+3%
1 437
+22%
1 222
-15%
1 197
-2%
1 293
+8%
1 540
+19%
2 076
+35%
2 295
+11%
2 446
+7%
2 367
-3%
1 985
-16%
1 824
-8%
1 563
-14%
1 606
+3%
1 786
+11%
1 904
+7%
2 856
+50%
2 957
+4%
3 224
+9%
3 446
+7%
3 020
-12%
3 468
+15%
3 149
-9%
3 312
+5%
Investing Cash Flow
Capital Expenditures
(437)
(375)
(217)
(283)
(246)
(312)
(435)
(430)
(449)
(619)
(509)
(499)
(505)
(409)
(548)
(647)
(779)
(826)
(908)
(948)
(1 022)
(965)
(985)
(1 110)
(1 106)
(1 120)
(1 200)
(1 304)
(1 320)
(1 397)
(1 352)
(1 159)
(1 096)
(1 016)
(897)
(914)
(806)
(687)
(549)
(554)
(672)
Other Items
(72)
(11)
141
172
148
(453)
(201)
(318)
(334)
373
(12)
101
152
(106)
(348)
(305)
(281)
(171)
(1 457)
(1 677)
(1 720)
115
82
288
310
(1 523)
46
15
(53)
(189)
(725)
(2 096)
(2 451)
(2 886)
(2 358)
(969)
(548)
6
35
29
89
Cash from Investing Activities
(509)
N/A
(385)
+24%
(76)
+80%
(111)
-45%
(99)
+11%
(765)
-676%
(636)
+17%
(748)
-18%
(784)
-5%
(246)
+69%
(521)
-111%
(398)
+24%
(353)
+11%
(515)
-46%
(897)
-74%
(952)
-6%
(1 060)
-11%
(997)
+6%
(2 366)
-137%
(2 625)
-11%
(2 742)
-4%
(850)
+69%
(903)
-6%
(823)
+9%
(796)
+3%
(2 643)
-232%
(1 154)
+56%
(1 289)
-12%
(1 374)
-7%
(1 586)
-15%
(2 077)
-31%
(3 255)
-57%
(3 548)
-9%
(3 902)
-10%
(3 255)
+17%
(1 883)
+42%
(1 354)
+28%
(681)
+50%
(514)
+25%
(526)
-2%
(583)
-11%
Financing Cash Flow
Net Issuance of Common Stock
0
0
1 759
1 759
1 759
1 845
86
86
91
44
0
44
39
96
104
109
109
14
2 264
2 259
2 259
2 260
1
1
1
0
0
0
0
1 586
0
2 208
2 208
622
0
0
0
86
0
87
94
Net Issuance of Debt
336
343
(949)
(1 095)
(1 150)
(1 338)
(79)
(84)
(79)
5
4
6
(1)
(11)
(12)
(12)
(15)
(14)
(14)
(12)
(12)
(18)
(279)
(348)
(633)
(875)
(1 133)
(1 025)
(686)
(202)
(501)
(657)
(498)
(984)
(341)
(547)
(1 055)
(1 522)
(2 269)
(2 402)
(2 469)
Cash Paid for Dividends
(75)
(275)
(349)
(299)
(290)
(117)
(43)
(289)
(289)
(246)
0
(123)
(123)
(123)
(123)
(159)
(159)
(159)
(159)
(321)
(674)
(674)
(914)
(593)
(240)
(540)
(300)
(300)
(300)
0
0
0
0
0
(300)
0
(600)
(300)
(621)
(621)
(321)
Other
0
0
0
0
0
0
0
0
0
0
0
0
0
0
(1)
(9)
(19)
(19)
(26)
(96)
(87)
(87)
(79)
(55)
(104)
(106)
0
(55)
(8)
(10)
0
(9)
(8)
(11)
(11)
(328)
(38)
(43)
(49)
266
(84)
Cash from Financing Activities
261
N/A
68
-74%
461
+576%
366
-21%
319
-13%
390
+22%
(37)
N/A
(287)
-680%
(277)
+4%
(196)
+29%
(197)
-1%
(72)
+64%
(85)
-18%
(38)
+55%
(32)
+16%
(71)
-124%
(84)
-17%
(179)
-113%
2 065
N/A
1 830
-11%
1 486
-19%
1 480
0%
(1 271)
N/A
(995)
+22%
(976)
+2%
(1 520)
-56%
(1 539)
-1%
(1 381)
+10%
(993)
+28%
1 374
N/A
1 079
-21%
1 543
+43%
1 703
+10%
(373)
N/A
(30)
+92%
(875)
-2 839%
(1 393)
-59%
(1 780)
-28%
(2 553)
-43%
(2 669)
-5%
(2 780)
-4%
Change in Cash
Effect of Foreign Exchange Rates
0
0
0
0
0
0
0
0
0
0
0
0
0
(0)
(1)
1
(1)
(1)
1
(5)
(4)
(4)
(4)
(2)
(2)
(5)
(6)
(3)
0
(4)
(7)
(19)
(21)
(23)
(19)
(10)
(11)
(7)
(6)
(5)
(9)
Net Change in Cash
(10)
N/A
(13)
-27%
675
N/A
709
+5%
758
+7%
368
-51%
90
-76%
(365)
N/A
(392)
-7%
(85)
+78%
(389)
-358%
61
N/A
97
+61%
98
+1%
(74)
N/A
(65)
+13%
(3)
+95%
(1)
+63%
1 138
N/A
423
-63%
(64)
N/A
1 920
N/A
(638)
N/A
256
N/A
522
+104%
(1 722)
N/A
(332)
+81%
(688)
-107%
(543)
+21%
1 348
N/A
601
-55%
56
-91%
38
-32%
(1 442)
N/A
(347)
+76%
456
N/A
688
+51%
552
-20%
394
-29%
(51)
N/A
(60)
-18%
Free Cash Flow
Free Cash Flow
(199)
N/A
(71)
+64%
73
N/A
171
+134%
292
+71%
431
+48%
328
-24%
240
-27%
219
-9%
(261)
N/A
(180)
+31%
32
N/A
30
-5%
242
+710%
307
+27%
311
+1%
363
+17%
349
-4%
529
+51%
274
-48%
174
-36%
329
+88%
554
+69%
965
+74%
1 190
+23%
1 326
+11%
1 167
-12%
682
-42%
503
-26%
166
-67%
254
+53%
627
+147%
807
+29%
1 840
+128%
2 060
+12%
2 310
+12%
2 640
+14%
2 333
-12%
2 919
+25%
2 594
-11%
2 640
+2%

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