Talga Group Ltd (TLGRF)

USD 0.28

(0.0%)

Annual Cash Flows

(In AUD)
Breakdown 2024 2023 2022 2021 2020 2019
Operating Cash Flow -31.66 Million -36.24 Million -26.54 Million -15.86 Million -12.3 Million -11.67 Million
Net Income -38.25 Million -43.35 Million -36.79 Million -19.89 Million -13.41 Million -12.93 Million
Depreciation & Amortization 3.3 Million 3.75 Million 972.18 Thousand 694.44 Thousand 862.78 Thousand 436.45 Thousand
Deferred income taxes - -4.07 Million -7.1 Million -2.41 Million -697.31 Thousand -1.17 Million
Stock-based compensation 3.7 Million 4.07 Million 7.1 Million 2.41 Million 697.31 Thousand 1.17 Million
Change in working capital 2.12 Million 36.59 Thousand -635.38 Thousand 1.73 Million -363.24 Thousand 36.57 Thousand
Other non-cash items -2.54 Million 3.31 Million 9.91 Million 1.6 Million 614.66 Thousand 784.33 Thousand
Investing Cash Flow -10.15 Million -6.41 Million -12.4 Million -1.67 Million -285.11 Thousand -137.36 Thousand
Investments in PPE -10.44 Million -6.39 Million -12.42 Million -1.92 Million -365.8 Thousand -576.23 Thousand
Acquisitions - - -21.01 Thousand - 80.69 Thousand 106.56 Thousand
Investment purchases - -20.9 Thousand -545.32 Thousand - - -4560.00
Sales/Maturities of investments 296.97 Thousand - 566.34 Thousand 250 Thousand 80.69 Thousand 168.43 Thousand
Other Investing Activities 296.97 Thousand -20.9 Thousand 21.01 Thousand 250 Thousand -80.69 Thousand 168.43 Thousand
Financing Cash Flow 17.69 Million 67.85 Million -529.62 Thousand 64.95 Million 9.99 Million 7.54 Million
Debt repayment -1.22 Million -1.12 Million -469.28 Thousand -1.48 Million -429.43 Thousand -
Dividends payments - - - - - -
Common Stock Repurchased -79 Thousand -3.13 Million -20.01 Thousand -1.78 Million -282.41 Thousand -471.77 Thousand
Common Stock Issuance 19 Million 68.97 Million -20.01 Thousand 65.58 Million 10.7 Million 7.54 Million
Other Financing Activities -1.22 Million 2 Million -489.59 Thousand 5.6 Million -429.43 Thousand 7.54 Million
Accounts receivables 1.76 Million -1.12 Million 835.76 Thousand -2.39 Million 440.66 Thousand -643.18 Thousand
Accounts payables - 794.31 Thousand -943.36 Thousand 3.98 Million -902.3 Thousand 727.35 Thousand
Inventory - - 16.26 Thousand 556.00 -1348.00 -15.47 Thousand
Other working capital 355.32 Thousand 365.98 Thousand -544.04 Thousand 148.71 Thousand 99.75 Thousand -32.11 Thousand
Cash at beginning of period 38.22 Million 13.01 Million 52.49 Million 5.07 Million 7.66 Million 11.93 Million
Cash at end of period 14.09 Million 38.22 Million 13.01 Million 52.49 Million 5.07 Million 7.66 Million
Capital Expenditure -10.44 Million -6.39 Million -12.42 Million -1.92 Million -365.8 Thousand -576.23 Thousand
Effect of forex changes on cash -9054.00 20.86 Thousand 265.19 Thousand - - -
Net cash flow / Change in cash -24.13 Million 25.21 Million -39.48 Million 47.42 Million -2.59 Million -4.26 Million
Free Cash Flow -42.11 Million -42.64 Million -38.97 Million -17.78 Million -12.66 Million -12.25 Million

Cash Flow Charts