SCG Packaging Public Company Limited (FRA:5Y7A)
Germany flag Germany · Delayed Price · Currency is EUR
0.5150
-0.0050 (-0.96%)
At close: Jan 30, 2026

FRA:5Y7A Cash Flow Statement

Millions THB. Fiscal year is Jan - Dec.
Fiscal Year
FY 2025FY 2024FY 2023FY 2022FY 2021
Period Ending
Dec '25 Dec '24 Dec '23 Dec '22 Dec '21
Net Income
4,0693,6995,2485,8018,294
Depreciation & Amortization
8,9689,0809,0389,5538,206
Other Amortization
-179.16167.39145.78108.95
Asset Writedown & Restructuring Costs
-18.95-46.4-111-160.07-1,273
Loss (Gain) on Equity Investments
-100.56-113.28-38.75-54.82-57.23
Provision & Write-off of Bad Debts
10.1412.866.3811.6-59.09
Other Operating Activities
1,5681,4601,8252,2642,405
Change in Accounts Receivable
1,039-1,243881.223,235-4,903
Change in Inventory
1,128-184.014,309-405.47-6,882
Change in Accounts Payable
-528.031,201602.83-2,6312,224
Change in Other Net Operating Assets
-597.58-290.98-446.08-524.26-564.09
Operating Cash Flow
15,53813,75421,48217,2347,501
Operating Cash Flow Growth
12.97%-35.97%24.65%129.75%-52.31%
Capital Expenditures
-4,922-5,429-7,124-6,862-6,191
Sale of Property, Plant & Equipment
27.3741.1265.73166.4820.63
Cash Acquisitions
-933.11-454.58-1,303-7,026-13,779
Sale (Purchase) of Intangibles
-235.34-211.51-258.91-324.12-223.69
Investment in Securities
-2,4085,001-4,82110,720-11,038
Other Investing Activities
361.19541.85381.43206.03216.03
Investing Cash Flow
-8,110-510.48-13,060-3,119-30,995
Short-Term Debt Issued
998.879,804--12,454
Long-Term Debt Issued
10,17318,94213510,00010,500
Total Debt Issued
11,17228,74613510,00022,954
Short-Term Debt Repaid
---798.98-14,047-
Long-Term Debt Repaid
-12,146-12,950-2,360-3,206-17,884
Total Debt Repaid
-12,146-12,950-3,159-17,253-17,884
Net Debt Issued (Repaid)
-974.815,796-3,024-7,2535,070
Common Dividends Paid
-2,361-2,361-2,575-2,790-3,004
Other Financing Activities
-6,904-26,617-2,767-1,558-3,108
Financing Cash Flow
-10,240-13,181-8,366-11,602-1,042
Foreign Exchange Rate Adjustments
-572.95-101.79-133.42142.59591.26
Net Cash Flow
-3,385-39.57-77.352,656-23,945
Free Cash Flow
10,6158,32514,35810,3721,309
Free Cash Flow Growth
27.51%-42.02%38.43%692.07%-83.95%
Free Cash Flow Margin
8.54%6.27%11.10%7.10%1.05%
Free Cash Flow Per Share
2.481.943.342.410.30
Cash Interest Paid
-2,4542,0681,3871,180
Cash Income Tax Paid
-1,9541,3821,7622,247
Levered Free Cash Flow
6,858-11,82833,8285,098-2,059
Unlevered Free Cash Flow
8,325-10,31035,0916,015-1,321
Change in Working Capital
1,041-516.895,347-326.36-10,125
Source: S&P Global Market Intelligence. Standard template. Financial Sources.