PT Ateliers Mecaniques D'Indonesie Tbk - Laporan Arus Kas (TTM)

PT Ateliers Mecaniques D'Indonesie Tbk
ID ˙ IDX
Laporan Arus Kas (TTM)

Laporan Arus Kas PT Ateliers Mecaniques D'Indonesie Tbk menunjukkan perubahan posisi kas dari waktu ke waktu. Data Laporan Arus Kas meliputi Kas dari Aktivitas Operasional (CFOP), Kas dari Aktivitas Investasi, dan Kas dari Aktivitas Pendanaan.

Semua angka adalah kelipatan 1,000,000 kecuali unit per saham.

2020
10-31
2021
01-31
2021
04-30
2021
07-31
2021
10-31
2022
01-31
2022
04-30
2022
07-31
2022
10-31
2023
01-31
2023
04-30
2023
07-31
2023
10-31
2024
01-31
2024
04-30
2024
07-31
2024
10-31
2025
01-31
2025
04-30
2025
07-31
Cash From Operating Activities 13,070 23,512 28,637 42,139 57,574 47,103 16,569 14,529 3,887 19,925 28,764 21,203 19,905 -15,838 -11,712 -3,499 3,251 29,418 42,699 53,198
Change (%) 79.89 21.80 47.15 36.63 -18.19 -64.83 -12.31 -73.24 412.57 44.36 -26.29 -6.12 -179.57 -26.05 -70.13 -192.91 805.01 45.15 24.59
% of Cash Flow 714.59 1,075.91 -629.00 -2,875.79 886.99 3,925.81 -157.54 -256.21 -59.30 384.45 166.33 236.66 132.79 490.37 78.09 -770.46 -48.56 -679.47 485.61 1,083.40
Cash From Investing Activities -458 -2,061 -3,321 -3,265 -3,238 -2,566 -1,148 -1,362 -1,110 -800 -1,058 -1,021 -1,953 -15 -624 -748 -123 -1,370 -482 -1,159
Change (%) 350.09 61.08 -1.68 -0.82 -20.74 -55.28 18.66 -18.54 -27.89 32.29 -3.55 91.27 -99.22 4,005.90 19.98 -83.61 1,016.41 -64.79 140.21
% of Cash Flow -25.04 -94.33 72.93 222.81 -49.88 -213.89 10.91 24.02 16.92 -15.44 -6.12 -11.39 -13.03 0.47 4.16 -164.82 1.83 31.64 -5.49 -23.59
Cash From Financing Activities -11,380 -21,443 -29,584 -39,990 -44,415 -43,332 -21,229 -3,514 2,614 1,894 -883 -13,065 -3,999 12,397 -1,474 6,617 -8,753 -32,730 -33,215 -46,808
Change (%) 88.43 37.96 35.17 11.07 -2.44 -51.01 -83.45 -174.39 -27.55 -146.62 1,379.34 -69.39 -410.03 -111.89 -549.01 -232.29 273.92 1.48 40.92
% of Cash Flow -622.20 -981.26 649.80 2,729.15 -684.26 -3,611.51 201.85 61.98 -39.88 36.55 -5.11 -145.82 -26.68 -383.84 9.83 1,457.18 130.76 755.98 -377.75 -953.25
Cash Flow 1,829 2,185 -4,553 -1,465 6,491 1,200 -10,517 -5,671 -6,556 5,183 17,293 8,959 14,990 -3,230 -14,998 454 -6,694 -4,329 8,793 4,910
Change (%) 19.48 -308.34 -67.82 -542.98 -81.52 -976.55 -46.08 15.61 -179.06 233.67 -48.19 67.31 -121.55 364.37 -103.03 -1,574.19 -35.32 -303.09 -44.16
% of Cash Flow 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00

Source: Capital IQ

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