Tiger Brands Limited

TBLMF · OTC
Analyze with AI
9/30/2025
9/30/2024
9/30/2023
9/30/2022
Operating Activities
Net Income$6,006$3,144$3,118$3,431
Dep. & Amort.$857$1,007$950$861
Deferred Tax$0$0-$2,254-$2,122
Stock-Based Comp.$115$71$13$56
Change in WC$1,186$735-$1,561-$1,630
Other Non-Cash-$5,884-$368$1,667$9
Operating Cash Flow$2,280$2,948$370$604
Investing Activities
PP&E Inv.-$1,172-$970-$1,213-$961
Net Acquisitions$4,958$0$0-$16
Inv. Purchases-$4,398-$2$0-$5
Inv. Sales/Matur.$2,611$3$3$2
Other Inv. Act.$18$305$66-$61
Investing Cash Flow$2,017-$665-$1,144-$1,041
Financing Activities
Debt Repay.-$545-$1,224$726$973
Stock Issued$6-$96-$34$4
Stock Repurch.-$1,523-$216$0-$1,453
Dividends Paid$0-$1,641-$1,564-$1,386
Other Fin. Act.-$360-$152-$203$1,208
Financing Cash Flow-$2,422-$3,328-$1,075-$655
Forex Effect-$28-$70-$40$91
Net Chg. in Cash$1,847$527-$340-$1,046
Supplemental Information
Beg. Cash$1,380$776$1,116$2,162
End Cash$3,227$1,303$776$1,116
Free Cash Flow$1,091$1,978-$842-$357