تجهیزنیروی‌زنگان‌

شزنگ | Stocks - Iran Fara Bourse (IFB)
تولید محصولات پالایش شده پتروشیمی
Sector:

تولید محصولات پالایش شده پتروشیمی

Market Type:

Stocks

Status:

Last Price: 1,000 0.00
Close Price: 1,000

Cash Flow

2024/01/20
Fiscal Year 2023/11/2112 Month

Cash Generated from Operations

30.609 Billion

Net Cash Flow from Operating Activities

30.609 Billion

Purchases of Property, Plant and Equipment

-1.225 Billion

Cash Paid for Loans Granted to Others

-3 Billion

Cash Received from Repayment of Loans Granted to Others

1.355 Billion

Net Cash Flow from Investing Activities

-2.87 Billion

Net Cash Flow before Financing Activities

27.739 Billion

Repayments of Borrowings (Principal)

-20.115 Billion

Interest Paid on Borrowings

-5.051 Billion

Dividends Paid

-22 Million

Other Cash Flows from Financing Activities

-115 Million

Net Cash Flow from Financing Activities

-25.303 Billion

Net Increase (Decrease) in Cash

2.436 Billion

Cash at Beginning of Period

698 Million

Effect of Exchange Rate Changes

87 Million

Cash at End of Period

785 Million