tiprankstipranks
TX Group AG (DE:TAMN)
BERLIN:TAMN

TX Group AG (TAMN) Cash flow

0 Followers

TX Group AG Cash Flow

DE:TAMN's free cash flow for Q4 2022 was CHF―. For the 2022 fiscal year, DE:TAMN's free cash flow was decreased by CHF-52.80M and operating cash flow was CHF―. See a summary of the company’s cash flow.
Cash Flow
TTM
Dec 22Dec 21Dec 20Dec 19Dec 18
Operating Cash Flow
-CHF 110.10MCHF 160.57MCHF 128.13M--
Investing Cash Flow
-CHF -77.70MCHF 66.22MCHF -11.81MCHF 202.60MCHF -233.61M
Financing Cash Flow
-CHF -151.50MCHF -65.64MCHF -131.36MCHF -225.87MCHF 68.77M
Cash Flow From Discontinued Operation
------
Other Cash Adjustment Inside Changein Cash
------
End Cash Position
-CHF 316.30MCHF 436.46MCHF 276.15MCHF 291.19MCHF 145.92M
Income Tax Paid Supplemental Data
------
Interest Paid Supplemental Data
------
Issuance Of Capital Stock
------
Issuance Of Debt
---CHF 7.79MCHF 6.60MCHF 201.40M
Repayment Of Debt
---CHF -22.03MCHF -128.38MCHF -66.94M
Free Cash Flow
-CHF 76.90MCHF 129.70MCHF 92.47MCHF 144.84MCHF 161.26M
Domestic Sales
------
Foreign Sales
------
Currency in CHF

TX Group AG Cash Flow

What's Included in PREMIUM?
Make informed decisions based on Top Analysts' activity
Know what industry insiders are buying
Get actionable alerts from top Wall Street Analysts
Find out before anyone else which stock is going to shoot up
Get powerful stock screeners & detailed portfolio analysis