K Wah International Holdings Ltd
F:KW2

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K Wah International Holdings Ltd Logo
K Wah International Holdings Ltd
F:KW2
Watchlist
Price: 0.276 EUR 2.22% Market Closed
Market Cap: €870.2m

Cash Flow Statement

Cash Flow Statement
K Wah International Holdings Ltd

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Cash Flow Statement
Currency: HKD
Dec-2002 Jun-2003 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 Jun-2024 Dec-2024 Jun-2025
Operating Cash Flow
Net Income
138
0
146
0
69
0
34
0
1 071
0
2 806
0
(407)
0
2 052
0
442
0
1 826
0
5 105
0
3 004
0
2 707
0
2 815
0
5 072
0
6 735
0
5 539
0
5 299
0
4 860
0
5 090
0
2 068
0
1 489
0
706
0
Depreciation & Amortization
62
0
69
0
79
0
3
0
3
0
3
0
4
0
7
0
9
0
25
0
43
0
47
0
43
0
43
0
36
0
31
0
29
0
30
0
30
0
32
0
33
0
30
0
35
0
Stock-Based Compensation
0
0
0
0
0
0
0
0
0
0
12
0
15
0
6
0
0
0
0
0
11
0
0
0
0
0
0
0
0
0
0
0
16
0
7
0
6
0
6
0
0
0
0
0
0
0
Other Non-Cash Items
68
0
21
0
62
1 280
107
0
(969)
0
(1 787)
0
893
0
(741)
0
(161)
0
(172)
0
(3 586)
0
(509)
0
(1 896)
0
(559)
0
(1 524)
0
(2 129)
0
(1 639)
0
(572)
0
205
0
(803)
0
(114)
0
(74)
0
493
0
Cash Taxes Paid
30
0
0
0
3
0
37
0
47
0
62
0
188
0
130
0
107
0
293
0
911
0
769
0
622
0
438
0
1 083
0
860
0
2 329
0
1 261
0
1 705
0
687
0
3 521
0
928
0
753
0
Cash Interest Paid
74
0
52
0
56
0
97
0
182
0
231
0
187
0
129
0
182
0
252
0
374
0
477
0
442
0
520
0
395
0
337
0
415
0
525
0
301
0
344
0
450
0
888
0
763
0
Change in Working Capital
(579)
642
709
(396)
(2 042)
(955)
(804)
(702)
903
961
(4 474)
(2 311)
(2 013)
(1 169)
(846)
(2 303)
(1 300)
2 049
29
(852)
(4 646)
(3 286)
(3 876)
(5 763)
(8 856)
(1 630)
31
4 336
399
490
(7 767)
(3 892)
(2 869)
5 420
(1 337)
1 428
(5 283)
911
3 091
6 383
2 570
5 482
(731)
(305)
2 040
2 426
Cash from Operating Activities
(311)
N/A
642
N/A
944
+47%
(396)
N/A
(1 832)
-363%
326
N/A
(660)
N/A
(1 983)
-200%
1 009
N/A
961
-5%
(3 453)
N/A
(2 311)
+33%
(1 523)
+34%
(1 169)
+23%
472
N/A
(2 288)
N/A
(1 010)
+56%
2 049
N/A
1 708
-17%
(852)
N/A
(3 084)
-262%
(3 286)
-7%
(1 334)
+59%
(5 763)
-332%
(8 001)
-39%
(1 630)
+80%
2 330
N/A
4 336
+86%
3 983
-8%
490
-88%
(3 130)
N/A
(3 892)
-24%
1 059
N/A
5 420
+412%
3 420
-37%
1 428
-58%
(187)
N/A
911
N/A
7 410
+714%
6 383
-14%
4 557
-29%
5 482
+20%
714
-87%
(305)
N/A
3 276
N/A
2 426
-26%
Investing Cash Flow
Capital Expenditures
(164)
0
(134)
0
(71)
0
(6)
0
(4)
0
(5)
0
(9)
0
(15)
0
(188)
0
(117)
0
(41)
0
(12)
0
(6)
0
(16)
(344)
(10)
318
(9)
0
(4)
0
(5)
0
(7)
0
(6)
0
(5)
0
(37)
0
(5)
0
Other Items
(61)
(272)
49
(89)
302
(190)
(433)
(70)
(207)
(930)
3 819
4 010
974
1 383
(738)
(1 467)
(935)
(452)
(1 082)
(399)
3 068
3 427
3 033
806
(348)
989
2 464
2 223
5
(52)
(5 035)
(5 273)
1 771
(231)
(6 293)
(3 951)
(1 440)
(1 207)
(191)
1 717
(2 380)
(5 346)
(553)
1 376
45
(238)
Cash from Investing Activities
(226)
N/A
(272)
-20%
(85)
+69%
(89)
-5%
231
N/A
(190)
N/A
(439)
-131%
(70)
+84%
(212)
-203%
(930)
-339%
3 814
N/A
4 010
+5%
965
-76%
1 383
+43%
(753)
N/A
(1 467)
-95%
(1 123)
+23%
(452)
+60%
(1 200)
-165%
(399)
+67%
3 027
N/A
3 427
+13%
3 021
-12%
806
-73%
(354)
N/A
989
N/A
2 448
+147%
1 879
-23%
(4)
N/A
266
N/A
(5 044)
N/A
(5 273)
-5%
1 768
N/A
(234)
N/A
(6 298)
-2 586%
(3 956)
+37%
(1 446)
+63%
(1 214)
+16%
(198)
+84%
1 711
N/A
(2 385)
N/A
(5 350)
-124%
(590)
+89%
1 339
N/A
41
-97%
(242)
N/A
Financing Cash Flow
Net Issuance of Common Stock
2
0
1
0
5
0
17
0
7
0
21
0
2
0
0
0
10
0
4
0
3
0
25
0
25
0
0
0
1
16
42
39
13
2
1
2
5
3
9
17
7
0
0
0
0
0
Net Issuance of Debt
583
0
(1 008)
0
1 885
0
863
0
(231)
0
1 371
0
61
0
883
0
3 375
0
(632)
0
2 858
(2 637)
(1 998)
5 219
8 092
2 932
(5 217)
(4 613)
(1 605)
592
7 347
6 877
236
(3 799)
1 697
2 346
4 401
1 582
(6 195)
(6 376)
(3 864)
225
220
(1 054)
(582)
(697)
Cash Paid for Dividends
(30)
0
(15)
0
(41)
0
(114)
0
(17)
0
(73)
0
(713)
0
(49)
0
(104)
0
(37)
0
(166)
0
(179)
0
(85)
0
(243)
0
(90)
(91)
(150)
0
(302)
0
(625)
0
(657)
0
(657)
0
(658)
0
(658)
0
(374)
0
Other
8
(323)
(0)
652
15
721
0
1 208
1
71
0
(1 002)
5
1 198
(72)
2 794
122
(403)
7
1 269
(34)
2 002
303
(1 844)
12
(37)
(33)
40
286
(101)
(443)
(515)
(728)
(385)
(185)
(192)
(88)
(47)
(57)
(117)
1 520
1 568
(25)
(331)
(852)
(538)
Cash from Financing Activities
563
N/A
(323)
N/A
(1 022)
-216%
652
N/A
1 863
+186%
721
-61%
766
+6%
1 208
+58%
(240)
N/A
71
N/A
1 318
+1 767%
(1 002)
N/A
(645)
+36%
1 198
N/A
762
-36%
2 794
+267%
3 403
+22%
(403)
N/A
(658)
-63%
1 269
N/A
2 661
+110%
(635)
N/A
(1 849)
-191%
6 013
N/A
8 043
+34%
2 895
-64%
(5 493)
N/A
(4 815)
+12%
(1 409)
+71%
416
N/A
6 796
+1 532%
6 252
-8%
(781)
N/A
(4 484)
-474%
888
N/A
1 532
+73%
3 661
+139%
882
-76%
(6 899)
N/A
(7 133)
-3%
(2 995)
+58%
1 134
N/A
(463)
N/A
(2 043)
-341%
(1 807)
+12%
(1 608)
+11%
Change in Cash
Effect of Foreign Exchange Rates
1
1
(2)
3
2
(7)
(22)
(40)
(71)
(104)
24
26
50
96
3
3
51
108
140
75
2
50
76
12
(26)
(3)
(236)
(310)
(254)
(37)
251
107
(109)
(127)
(56)
(87)
265
371
149
(155)
(483)
(430)
(71)
89
(121)
(5)
Net Change in Cash
27
N/A
49
+80%
(165)
N/A
170
N/A
264
+55%
850
+222%
(355)
N/A
(884)
-149%
486
N/A
(3)
N/A
1 704
N/A
722
-58%
(1 154)
N/A
1 508
N/A
483
-68%
(958)
N/A
1 322
N/A
1 302
-1%
(10)
N/A
93
N/A
2 606
+2 693%
(445)
N/A
(86)
+81%
1 067
N/A
(338)
N/A
2 251
N/A
(952)
N/A
1 091
N/A
2 315
+112%
1 136
-51%
(1 127)
N/A
(2 807)
-149%
1 936
N/A
574
-70%
(2 045)
N/A
(1 083)
+47%
2 293
N/A
949
-59%
463
-51%
806
+74%
(1 306)
N/A
836
N/A
(410)
N/A
(920)
-125%
1 388
N/A
570
-59%
Free Cash Flow
Free Cash Flow
(475)
N/A
642
N/A
810
+26%
(396)
N/A
(1 903)
-381%
326
N/A
(666)
N/A
(1 983)
-198%
1 004
N/A
961
-4%
(3 457)
N/A
(2 311)
+33%
(1 532)
+34%
(1 169)
+24%
457
N/A
(2 288)
N/A
(1 198)
+48%
2 049
N/A
1 591
-22%
(852)
N/A
(3 125)
-267%
(3 286)
-5%
(1 346)
+59%
(5 763)
-328%
(8 007)
-39%
(1 630)
+80%
2 313
N/A
3 992
+73%
3 974
0%
808
-80%
(3 139)
N/A
(3 892)
-24%
1 055
N/A
5 420
+414%
3 415
-37%
1 428
-58%
(194)
N/A
911
N/A
7 404
+713%
6 383
-14%
4 552
-29%
5 482
+20%
677
-88%
(305)
N/A
3 271
N/A
2 426
-26%