CP ALL Public Company Limited

CVPBF · OTC
Analyze with AI
12/31/2024
12/31/2023
12/31/2022
12/31/2021
Operating Activities
Net Income$29,511,586$21,852,037$16,220,903$12,052,493
Dep. & Amort.$37,204,810$36,582,249$36,544,236$24,486,039
Deferred Tax$6,381,340$4,602,069$3,861,000$524,889
Stock-Based Comp.$0$0$0$0
Change in WC-$5,204,656$13,306,182$2,765,085-$589,876
Other Non-Cash$8,276,309$10,829,308$16,093,377$5,061,428
Operating Cash Flow$76,169,390$87,171,846$69,873,233$46,318,821
Investing Activities
PP&E Inv.-$23,512,505-$25,409,345-$30,256,252-$17,691,094
Net Acquisitions-$203,452-$156,181$561,331$13,165,259
Inv. Purchases-$899,226-$730,399-$1,573,293-$1,171,289
Inv. Sales/Matur.$160,485$396,762$1,418,018$3,050,654
Other Inv. Act.-$4,495,981-$2,167,577-$655,783$549,850
Investing Cash Flow-$28,950,678-$28,066,739-$30,505,979-$2,096,621
Financing Activities
Debt Repay.-$36,117,651-$30,149,591-$47,313,574-$11,499,490
Stock Issued$0$88,837$88,042$33,009,428
Stock Repurch.$0$0$0$0
Dividends Paid-$8,982,256-$6,737,477-$5,389,648-$8,084,779
Other Fin. Act.-$14,804,298-$26,189,501-$11,696,747-$5,915,014
Financing Cash Flow-$59,904,205-$62,987,732-$64,311,928$7,510,146
Forex Effect$64,269-$307,527$46,378$26,440
Net Chg. in Cash-$12,621,224-$4,190,153-$24,898,295$51,758,786
Supplemental Information
Beg. Cash$67,234,119$71,424,272$96,322,567$40,589,081
End Cash$54,612,895$67,234,119$71,424,272$92,347,867
Free Cash Flow$50,357,637$58,828,831$39,616,981$28,627,726