T

Trisula Textile Industries Tbk PT
IDX:BELL

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Trisula Textile Industries Tbk PT
IDX:BELL
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Price: 199 IDR Market Closed
Market Cap: Rp1.4T

Cash Flow Statement

Cash Flow Statement
Trisula Textile Industries Tbk PT

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Cash Flow Statement
Currency: IDR
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 Dec-2024 Mar-2025 Jun-2025 Sep-2025
Operating Cash Flow
Cash Taxes Paid
(5 136)
(4 477)
(6 731)
(5 440)
(7 242)
(11 581)
(15 192)
(14 526)
(7 492)
(2 060)
6 686
12 379
(8 044)
(10 849)
(15 228)
(23 333)
(5 929)
(5 556)
(5 459)
(1 889)
(5 830)
(7 870)
(3 677)
(5 200)
(5 487)
(5 401)
(8 332)
(8 057)
(7 740)
(3 280)
(5 296)
(6 704)
Cash Interest Paid
(14 884)
0
0
0
(15 690)
0
0
0
(17 995)
(5 558)
(11 312)
(17 316)
(24 278)
(23 078)
(21 216)
(18 463)
(16 751)
(16 360)
(16 665)
(18 054)
(14 724)
(14 556)
(14 028)
(14 163)
(13 824)
(13 785)
(13 603)
(11 325)
(15 443)
(14 508)
(14 856)
(14 989)
Change in Working Capital
(100 778)
(113 473)
(108 189)
(122 572)
(90 190)
(101 014)
(113 694)
(126 533)
(123 100)
(138 717)
(144 257)
(138 660)
(75 593)
(69 667)
(32 302)
(15 053)
(73 664)
(77 807)
(82 035)
(87 134)
(83 435)
(89 725)
(89 026)
(89 194)
(90 201)
(88 258)
(97 896)
(108 011)
(108 892)
(114 876)
(113 178)
(110 566)
Cash from Operating Activities
17 806
N/A
19 519
+10%
22 443
+15%
2 532
-89%
53 229
+2 002%
23 628
-56%
25 153
+6%
52 640
+109%
(24 835)
N/A
9 873
N/A
(581)
N/A
4 722
N/A
63 152
+1 237%
76 040
+20%
96 033
+26%
53 470
-44%
34 364
-36%
12 891
-62%
5 977
-54%
7 850
+31%
15 219
+94%
34 274
+125%
37 070
+8%
43 450
+17%
16 992
-61%
18 327
+8%
20 407
+11%
23 986
+18%
33 453
+39%
22 902
-32%
41 090
+79%
48 257
+17%
Investing Cash Flow
Capital Expenditures
(38 647)
(45 117)
(45 988)
(54 001)
(55 472)
(53 358)
(58 749)
(37 464)
(34 114)
(36 911)
(24 744)
(29 213)
(17 641)
(10 543)
(9 587)
(1 038)
(5 753)
(4 826)
(3 442)
(4 863)
(13 521)
(19 252)
(11 288)
(18 500)
(17 065)
(16 982)
(40 483)
(57 855)
(48 059)
(55 257)
(43 366)
(31 464)
Other Items
(1 578)
31
(1 834)
(2 714)
(285)
(138)
439
664
(29 148)
(29 268)
(29 436)
(29 802)
451
526
231
576
500
696
735
685
(1 715)
(2 016)
(4 142)
(4 160)
3 710
3 921
6 490
6 002
365
717
238
714
Cash from Investing Activities
(40 225)
N/A
(45 086)
-12%
(47 822)
-6%
(56 715)
-19%
(55 757)
+2%
(53 496)
+4%
(58 310)
-9%
(36 800)
+37%
(63 261)
-72%
(66 179)
-5%
(54 181)
+18%
(59 015)
-9%
(17 190)
+71%
(10 017)
+42%
(9 357)
+7%
(462)
+95%
(5 254)
-1 038%
(4 130)
+21%
(2 707)
+34%
(4 178)
-54%
(15 236)
-265%
(21 268)
-40%
(15 431)
+27%
(22 661)
-47%
(13 355)
+41%
(13 061)
+2%
(33 992)
-160%
(51 853)
-53%
(47 694)
+8%
(54 540)
-14%
(43 128)
+21%
(30 751)
+29%
Financing Cash Flow
Net Issuance of Common Stock
42 069
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
(235)
0
(642)
(1 122)
(1 760)
0
(1 650)
(1 453)
(580)
(897)
(612)
(320)
Net Issuance of Debt
21 966
20 458
9 299
34 648
8 029
15 836
23 997
(17 335)
67 813
68 939
68 096
61 542
(7 951)
(63 984)
(97 048)
(46 160)
(44 746)
(20 773)
14 634
(9 164)
(14 250)
(9 850)
(31 906)
(22 779)
(1 584)
6 126
24 081
34 486
9 090
23 044
(101)
(12 365)
Cash Paid for Dividends
0
0
0
0
(4 350)
0
0
(5 075)
(5 075)
0
0
(3 625)
(3 625)
0
(4 133)
(508)
(508)
0
(2 030)
(2 030)
(2 030)
0
(3 625)
(3 625)
(3 625)
0
(2 500)
(2 500)
(2 500)
0
(4 977)
(4 977)
Other
(10 080)
(10 080)
(12 605)
(5 074)
(475)
(385)
(724)
(400)
(400)
(45)
4 645
(748)
(783)
(987)
(987)
(294)
(259)
(360)
(15 360)
(7 982)
(545)
0
13 653
5 340
(2 254)
0
(2 423)
(2 364)
(2 339)
(2 382)
(2 740)
(1 910)
Cash from Financing Activities
53 955
N/A
52 447
-3%
38 440
-27%
66 969
+74%
3 204
-95%
10 626
+232%
18 448
+74%
(23 284)
N/A
62 338
N/A
63 819
+2%
67 666
+6%
57 169
-16%
(12 358)
N/A
(68 596)
-455%
(102 168)
-49%
(46 961)
+54%
(45 512)
+3%
(21 641)
+52%
(2 756)
+87%
(19 176)
-596%
(17 060)
+11%
(12 324)
+28%
(22 521)
-83%
(22 186)
+1%
(9 223)
+58%
(1 513)
+84%
17 510
N/A
28 169
+61%
3 670
-87%
17 266
+370%
(8 429)
N/A
(19 572)
-132%
Change in Cash
Net Change in Cash
31 535
N/A
26 880
-15%
13 061
-51%
12 786
-2%
676
-95%
(19 242)
N/A
(14 709)
+24%
(7 444)
+49%
(25 758)
-246%
7 514
N/A
12 905
+72%
2 876
-78%
33 604
+1 068%
(2 573)
N/A
(15 491)
-502%
6 046
N/A
(16 402)
N/A
(12 880)
+21%
514
N/A
(15 504)
N/A
(17 077)
-10%
682
N/A
(882)
N/A
(1 396)
-58%
(5 586)
-300%
3 753
N/A
3 924
+5%
302
-92%
(10 571)
N/A
(14 372)
-36%
(10 468)
+27%
(2 066)
+80%
Free Cash Flow
Free Cash Flow
(20 841)
N/A
(25 598)
-23%
(23 545)
+8%
(51 469)
-119%
(2 243)
+96%
(29 730)
-1 226%
(33 596)
-13%
15 177
N/A
(58 948)
N/A
(27 038)
+54%
(25 325)
+6%
(24 491)
+3%
45 511
N/A
65 497
+44%
86 446
+32%
52 432
-39%
28 611
-45%
8 065
-72%
2 536
-69%
2 987
+18%
1 698
-43%
15 022
+785%
25 782
+72%
24 950
-3%
(73)
N/A
1 344
N/A
(20 076)
N/A
(33 869)
-69%
(14 606)
+57%
(32 355)
-122%
(2 277)
+93%
16 792
N/A