T

TOA Paint Thailand PCL
SET:TOA

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TOA Paint Thailand PCL
SET:TOA
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Price: 14.3 THB Market Closed
Market Cap: ฿29B

Cash Flow Statement

Cash Flow Statement
TOA Paint Thailand PCL

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Cash Flow Statement
Currency: THB
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 Dec-2024 Mar-2025 Jun-2025 Sep-2025
Operating Cash Flow
Net Income
3 130
2 823
2 505
2 211
2 105
2 176
2 219
2 286
2 270
2 390
2 429
2 613
2 711
2 493
2 633
2 616
2 595
2 870
2 797
2 479
2 454
2 130
1 963
2 076
1 887
2 182
2 655
3 059
3 330
3 553
3 257
2 689
2 619
2 492
2 670
3 231
Depreciation & Amortization
357
347
344
341
340
339
340
341
342
343
356
361
369
417
456
506
557
560
589
603
615
635
632
643
671
698
699
715
721
728
760
768
766
760
746
749
Other Non-Cash Items
13
27
83
118
113
84
53
(42)
(45)
(72)
(30)
43
77
282
145
184
99
(51)
19
98
59
102
179
95
135
112
11
(27)
102
(12)
6
180
97
211
294
107
Cash Taxes Paid
673
674
639
564
557
550
412
472
469
471
493
531
530
527
608
622
618
615
585
592
591
615
521
459
462
446
482
574
579
571
702
747
718
720
648
598
Cash Interest Paid
86
84
81
80
77
63
49
36
25
24
23
21
19
15
12
14
6
5
3
(4)
5
5
5
7
4
6
23
32
42
54
50
53
55
52
49
46
Change in Working Capital
(301)
72
(413)
(278)
(754)
(461)
(702)
(883)
(569)
(863)
(368)
(429)
(747)
(603)
(1 138)
(890)
(1 282)
(820)
(464)
(613)
(599)
(1 184)
(1 207)
(1 368)
(1 316)
(816)
(605)
(411)
(336)
(674)
(1 368)
(976)
(628)
(773)
(273)
(559)
Cash from Operating Activities
3 199
N/A
3 268
+2%
2 519
-23%
2 392
-5%
1 804
-25%
2 139
+19%
1 911
-11%
1 702
-11%
1 998
+17%
1 798
-10%
2 386
+33%
2 589
+8%
2 410
-7%
2 589
+7%
2 096
-19%
2 416
+15%
1 969
-18%
2 559
+30%
2 941
+15%
2 568
-13%
2 530
-1%
1 683
-33%
1 568
-7%
1 446
-8%
1 376
-5%
2 177
+58%
2 760
+27%
3 335
+21%
3 817
+14%
3 594
-6%
2 655
-26%
2 660
+0%
2 854
+7%
2 690
-6%
3 437
+28%
3 527
+3%
Investing Cash Flow
Capital Expenditures
(544)
(488)
(474)
(542)
(386)
(507)
(546)
(658)
(838)
(837)
(971)
(1 024)
(752)
(752)
(609)
(417)
(473)
(379)
(397)
(364)
(389)
(420)
(462)
(527)
(562)
(525)
(960)
(1 069)
(1 100)
(1 167)
(763)
(692)
(675)
(679)
(670)
(755)
Other Items
3 465
4 562
4 985
5 082
(3 988)
(3 846)
(3 847)
(3 414)
9
(76)
(425)
(476)
(641)
625
671
726
1 034
(1 000)
(380)
(551)
(355)
(163)
(763)
(252)
(378)
(519)
(472)
(199)
(268)
148
1 308
575
287
60
(1 105)
(815)
Cash from Investing Activities
2 920
N/A
4 075
+40%
4 511
+11%
4 539
+1%
(4 374)
N/A
(4 352)
+0%
(4 393)
-1%
(4 071)
+7%
(829)
+80%
(913)
-10%
(1 397)
-53%
(1 500)
-7%
(1 393)
+7%
(127)
+91%
62
N/A
309
+399%
561
+82%
(1 380)
N/A
(778)
+44%
(915)
-18%
(744)
+19%
(583)
+22%
(1 225)
-110%
(779)
+36%
(940)
-21%
(1 044)
-11%
(1 433)
-37%
(1 268)
+11%
(1 368)
-8%
(1 018)
+26%
545
N/A
(117)
N/A
(388)
-231%
(619)
-60%
(1 775)
-187%
(1 570)
+12%
Financing Cash Flow
Net Issuance of Common Stock
11
886
887
884
6 874
5 999
5 995
0
1
0
0
0
0
(27)
(27)
(27)
(27)
0
0
0
135
0
0
0
0
0
0
0
0
(38)
(718)
(718)
(819)
(1 357)
(759)
(759)
Net Issuance of Debt
(97)
(491)
(1 055)
910
(2 522)
(2 417)
(1 906)
(2 704)
(386)
(140)
(348)
(241)
(410)
(548)
(375)
(716)
(554)
(396)
(501)
(217)
(194)
(462)
(374)
(320)
(337)
(149)
(34)
20
(14)
27
(78)
(241)
(216)
(193)
(182)
(101)
Cash Paid for Dividends
(6 525)
(7 214)
(7 214)
(8 023)
(1 498)
(809)
(1 094)
(710)
(710)
0
(81)
(122)
(832)
0
(1 014)
(1 096)
(1 096)
0
(1 075)
(1 157)
(1 161)
0
(1 019)
(897)
(893)
0
(1 046)
(1 208)
(1 177)
0
(1 295)
(1 231)
(1 248)
0
(1 075)
(1 168)
Other
(86)
(84)
(81)
(80)
(77)
(63)
(49)
(36)
(25)
(24)
(23)
(21)
(19)
(15)
(12)
(14)
(6)
(5)
(3)
(1)
(5)
(5)
(5)
(3)
(18)
0
0
0
(61)
(76)
(90)
(109)
(61)
(82)
(79)
(70)
Cash from Financing Activities
(6 697)
N/A
(6 903)
-3%
(7 462)
-8%
(6 309)
+15%
2 777
N/A
2 710
-2%
2 948
+9%
2 545
-14%
(1 121)
N/A
(872)
+22%
(1 161)
-33%
(1 093)
+6%
(1 261)
-15%
(1 421)
-13%
(1 428)
-1%
(1 852)
-30%
(1 683)
+9%
(1 497)
+11%
(1 580)
-6%
(1 374)
+13%
(1 225)
+11%
(1 493)
-22%
(1 263)
+15%
(1 085)
+14%
(1 248)
-15%
(1 059)
+15%
(1 082)
-2%
(1 189)
-10%
(1 252)
-5%
(1 264)
-1%
(2 182)
-73%
(2 299)
-5%
(2 344)
-2%
(2 881)
-23%
(2 095)
+27%
(2 099)
0%
Change in Cash
Effect of Foreign Exchange Rates
50
(21)
(21)
(18)
(104)
(51)
(43)
(28)
3
(11)
(41)
(32)
(33)
3
4
(13)
(19)
(7)
29
23
31
(0)
16
77
9
3
(4)
(36)
(3)
84
95
(189)
(30)
(133)
(265)
(30)
Net Change in Cash
(528)
N/A
418
N/A
(452)
N/A
605
N/A
103
-83%
445
+333%
422
-5%
149
-65%
50
-66%
2
-96%
(213)
N/A
(37)
+83%
(276)
-644%
1 043
N/A
733
-30%
860
+17%
829
-4%
(324)
N/A
612
N/A
301
-51%
591
+96%
(393)
N/A
(904)
-130%
(340)
+62%
(803)
-136%
77
N/A
242
+214%
842
+249%
1 194
+42%
1 396
+17%
1 114
-20%
54
-95%
92
+70%
(943)
N/A
(698)
+26%
(172)
+75%
Free Cash Flow
Free Cash Flow
2 655
N/A
2 780
+5%
2 046
-26%
1 850
-10%
1 418
-23%
1 632
+15%
1 365
-16%
1 045
-23%
1 159
+11%
961
-17%
1 415
+47%
1 564
+11%
1 658
+6%
1 836
+11%
1 487
-19%
1 999
+34%
1 497
-25%
2 179
+46%
2 544
+17%
2 204
-13%
2 141
-3%
1 262
-41%
1 106
-12%
919
-17%
814
-11%
1 652
+103%
1 799
+9%
2 267
+26%
2 717
+20%
2 428
-11%
1 892
-22%
1 968
+4%
2 179
+11%
2 011
-8%
2 768
+38%
2 773
+0%