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AIPUY AIRPORTS OF THAILAND PUBLIC CO UNSP ADR EACH REP 10 ORD SHS

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  • 11.250
  • +0.100+0.90%
15min DelayClose Apr 25 16:00 ET
16.07BMarket Cap27.11P/E (TTM)

AIRPORTS OF THAILAND PUBLIC CO UNSP ADR EACH REP 10 ORD SHS Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Dec 31, 2024
(FY)Sep 30, 2024
(Q4)Sep 30, 2024
(Q3)Jun 30, 2024
(Q2)Mar 31, 2024
(Q1)Dec 31, 2023
(FY)Sep 30, 2023
(Q4)Sep 30, 2023
(Q3)Jun 30, 2023
(Q2)Mar 31, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-14.60%5.75B
143.33%41.06B
168.97%12.59B
135.36%11.53B
154.07%10.21B
105.45%6.73B
9,946.53%16.87B
96.04%4.68B
812.07%4.9B
1,522.97%4.02B
Net income from continuing operations
18.79%6.93B
117.09%24.55B
26.75%5.45B
40.31%5.79B
216.29%7.48B
1,026.18%5.83B
181.56%11.31B
335.53%4.3B
250.09%4.13B
160.69%2.36B
Operating gains losses
33.48%138.63M
-1.30%448.44M
-49.28%99.88M
178.47%105.97M
55.88%138.73M
-20.32%103.86M
362.33%454.34M
5.19%196.94M
145.73%38.05M
311.64%89M
Depreciation and amortization
6.01%2.99B
28.56%11.4B
25.64%2.9B
32.30%2.87B
29.76%2.81B
26.78%2.82B
-0.69%8.87B
1.73%2.31B
-0.60%2.17B
-0.82%2.17B
Other non cash items
-20.29%534.26M
-10.67%2.4B
-29.52%392.05M
-7.75%649.6M
-2.97%691.19M
-6.57%670.24M
-0.49%2.69B
0.55%556.25M
0.30%704.21M
-2.58%712.34M
Change In working capital
-90.67%-4.72B
143.76%2.92B
241.19%3.91B
191.59%2.11B
53.03%-628.47M
-847.79%-2.48B
-987.88%-6.68B
-377.75%-2.77B
-544.79%-2.31B
-279.69%-1.34B
-Change in receivables
-30.04%-2.26B
103.17%281.54M
273.95%4.05B
104.57%171.52M
6.76%-2.2B
-284.68%-1.74B
-3,232.82%-8.89B
-2,107.83%-2.33B
-30,420.51%-3.75B
-1,150.87%-2.36B
-Change in inventory
-3,623.50%-201.74M
-387.36%-112.73M
-141.27%-95.67M
33.80%55.15M
-374.89%-66.79M
-140.53%-5.42M
192.54%39.23M
-504.58%-39.65M
50.35%41.22M
179.90%24.3M
-Change in payables and accrued expense
63.31%-237.62M
-76.43%165M
26.08%-177.1M
-16.89%613.19M
64.86%376.64M
-2,321.53%-647.74M
-7.10%700M
-147.97%-239.56M
1.73%737.84M
171.33%228.47M
-Change in other current assets
859.99%230.87M
-42.64%12.8M
-468.44%-399.61M
248.15%246.21M
243.25%142.14M
-86.58%24.05M
-83.80%22.31M
187.80%108.46M
-67.05%-166.19M
-127.79%-99.23M
-Change in other current liabilities
-1,985.70%-2.25B
76.91%2.57B
297.10%537.02M
22.89%1.03B
28.97%1.12B
-535.02%-107.91M
658.22%1.46B
-152.55%-272.46M
780.79%834.65M
694.95%868.5M
-Change in other working capital
----
----
----
----
----
----
83.26%-3.7M
---930.3K
----
----
Cash from discontinued investing activities
Operating cash flow
-14.60%5.75B
143.33%41.06B
168.97%12.59B
135.36%11.53B
154.07%10.21B
105.45%6.73B
9,946.53%16.87B
96.04%4.68B
812.07%4.9B
1,522.97%4.02B
Investing cash flow
Cash flow from continuing investing activities
42.27%-2.4B
-13.57%-13.13B
7.71%-3.29B
-24.81%-3.21B
-28.94%-2.48B
-18.51%-4.15B
-1,134.44%-11.56B
-17.74%-3.56B
-37.90%-2.57B
-317.59%-1.92B
Net PPE purchase and sale
43.06%-2.36B
-12.29%-13.02B
9.14%-3.25B
-24.83%-3.22B
-23.73%-2.4B
-18.58%-4.15B
-23.53%-11.59B
-26.93%-3.57B
-34.47%-2.58B
-72.98%-1.94B
Net intangibles purchase and sale
-168.63%-21.3M
-601.32%-75.72M
-7.71%-3.05M
-38.36%-10.03M
-102,939.91%-54.71M
-1,086.79%-7.93M
94.23%-10.8M
98.48%-2.83M
-8,957.50%-7.25M
-123.69%-53.1K
Net business purchase and sale
----
---32M
---12M
--0
----
----
--0
--0
--0
----
Net investment purchase and sale
---13M
-245,353.59%-50.05M
---50M
--0
---52.9K
--0
-100.00%-20.39K
--0
--0
----
Net other investing changes
-70.45%2.98M
-19.30%11.31M
474.15%4.6M
109.41%437.79K
-121.89%-3.83M
2,484.85%10.1M
70.16%14.02M
430.96%801.75K
-1,494.86%-4.65M
362.63%17.48M
Cash from discontinued investing activities
Investing cash flow
42.27%-2.4B
-13.57%-13.13B
7.71%-3.29B
-24.81%-3.21B
-28.94%-2.48B
-18.51%-4.15B
-1,134.44%-11.56B
-17.74%-3.56B
-37.90%-2.57B
-317.59%-1.92B
Financing cash flow
Cash flow from continuing financing activities
-52.78%-6.29B
-414.31%-15.53B
-166.86%-663.8M
-37.70%-3.59B
-319.94%-7.16B
-1,467.87%-4.11B
15.48%-3.02B
972.40%992.79M
-261.37%-2.61B
-145.85%-1.71B
Net issuance payments of debt
-165.32%-3.44B
-689.88%-7.35B
-154.55%-594.52M
-64.68%-3.57B
-70.11%-1.9B
-203.04%-1.3B
56.41%-931.14M
8,445.56%1.09B
-230.65%-2.16B
-101.13%-1.12B
Cash dividends paid
---204.5M
-28,226.52%-5.15B
--0
--0
-28,226.52%-5.15B
--0
-126.60%-18.19M
--0
--0
-126.60%-18.19M
Net other financing activities
66.30%-5.37M
-235.56%-110.33M
29.56%-38.54M
65.98%-8.05M
-124.98%-47.82M
49.72%-15.92M
136.30%81.39M
22.30%-54.72M
39.82%-23.66M
385.45%191.44M
Cash from discontinued financing activities
Financing cash flow
-52.78%-6.29B
-414.31%-15.53B
-166.86%-663.8M
-37.70%-3.59B
-319.94%-7.16B
-1,467.87%-4.11B
15.48%-3.02B
972.40%992.79M
-261.37%-2.61B
-145.85%-1.71B
Net cash flow
Beginning cash position
203.51%18.49B
60.39%6.09B
147.48%9.85B
20.23%5.13B
17.72%4.56B
60.39%6.09B
-55.21%3.8B
-12.52%3.98B
-35.39%4.26B
-42.13%3.87B
Current changes in cash
-91.43%-2.93B
440.51%12.4B
309.11%8.64B
1,756.21%4.72B
45.11%567.16M
-2,111.06%-1.53B
148.99%2.29B
380.97%2.11B
86.10%-285.07M
518.52%390.85M
End cash Position
241.14%15.56B
203.51%18.49B
203.51%18.49B
147.48%9.85B
20.23%5.13B
17.72%4.56B
60.39%6.09B
60.39%6.09B
-12.52%3.98B
-35.39%4.26B
Free cash flow
30.77%3.36B
430.66%27.96B
745.61%9.34B
259.01%8.3B
272.96%7.76B
1,243.41%2.57B
154.09%5.27B
279.86%1.1B
267.32%2.31B
248.20%2.08B
Currency Unit
THB
THB
THB
THB
THB
THB
THB
THB
THB
THB
(Q1)Dec 31, 2024(FY)Sep 30, 2024(Q4)Sep 30, 2024(Q3)Jun 30, 2024(Q2)Mar 31, 2024(Q1)Dec 31, 2023(FY)Sep 30, 2023(Q4)Sep 30, 2023(Q3)Jun 30, 2023(Q2)Mar 31, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -14.60%5.75B143.33%41.06B168.97%12.59B135.36%11.53B154.07%10.21B105.45%6.73B9,946.53%16.87B96.04%4.68B812.07%4.9B1,522.97%4.02B
Net income from continuing operations 18.79%6.93B117.09%24.55B26.75%5.45B40.31%5.79B216.29%7.48B1,026.18%5.83B181.56%11.31B335.53%4.3B250.09%4.13B160.69%2.36B
Operating gains losses 33.48%138.63M-1.30%448.44M-49.28%99.88M178.47%105.97M55.88%138.73M-20.32%103.86M362.33%454.34M5.19%196.94M145.73%38.05M311.64%89M
Depreciation and amortization 6.01%2.99B28.56%11.4B25.64%2.9B32.30%2.87B29.76%2.81B26.78%2.82B-0.69%8.87B1.73%2.31B-0.60%2.17B-0.82%2.17B
Other non cash items -20.29%534.26M-10.67%2.4B-29.52%392.05M-7.75%649.6M-2.97%691.19M-6.57%670.24M-0.49%2.69B0.55%556.25M0.30%704.21M-2.58%712.34M
Change In working capital -90.67%-4.72B143.76%2.92B241.19%3.91B191.59%2.11B53.03%-628.47M-847.79%-2.48B-987.88%-6.68B-377.75%-2.77B-544.79%-2.31B-279.69%-1.34B
-Change in receivables -30.04%-2.26B103.17%281.54M273.95%4.05B104.57%171.52M6.76%-2.2B-284.68%-1.74B-3,232.82%-8.89B-2,107.83%-2.33B-30,420.51%-3.75B-1,150.87%-2.36B
-Change in inventory -3,623.50%-201.74M-387.36%-112.73M-141.27%-95.67M33.80%55.15M-374.89%-66.79M-140.53%-5.42M192.54%39.23M-504.58%-39.65M50.35%41.22M179.90%24.3M
-Change in payables and accrued expense 63.31%-237.62M-76.43%165M26.08%-177.1M-16.89%613.19M64.86%376.64M-2,321.53%-647.74M-7.10%700M-147.97%-239.56M1.73%737.84M171.33%228.47M
-Change in other current assets 859.99%230.87M-42.64%12.8M-468.44%-399.61M248.15%246.21M243.25%142.14M-86.58%24.05M-83.80%22.31M187.80%108.46M-67.05%-166.19M-127.79%-99.23M
-Change in other current liabilities -1,985.70%-2.25B76.91%2.57B297.10%537.02M22.89%1.03B28.97%1.12B-535.02%-107.91M658.22%1.46B-152.55%-272.46M780.79%834.65M694.95%868.5M
-Change in other working capital ------------------------83.26%-3.7M---930.3K--------
Cash from discontinued investing activities
Operating cash flow -14.60%5.75B143.33%41.06B168.97%12.59B135.36%11.53B154.07%10.21B105.45%6.73B9,946.53%16.87B96.04%4.68B812.07%4.9B1,522.97%4.02B
Investing cash flow
Cash flow from continuing investing activities 42.27%-2.4B-13.57%-13.13B7.71%-3.29B-24.81%-3.21B-28.94%-2.48B-18.51%-4.15B-1,134.44%-11.56B-17.74%-3.56B-37.90%-2.57B-317.59%-1.92B
Net PPE purchase and sale 43.06%-2.36B-12.29%-13.02B9.14%-3.25B-24.83%-3.22B-23.73%-2.4B-18.58%-4.15B-23.53%-11.59B-26.93%-3.57B-34.47%-2.58B-72.98%-1.94B
Net intangibles purchase and sale -168.63%-21.3M-601.32%-75.72M-7.71%-3.05M-38.36%-10.03M-102,939.91%-54.71M-1,086.79%-7.93M94.23%-10.8M98.48%-2.83M-8,957.50%-7.25M-123.69%-53.1K
Net business purchase and sale -------32M---12M--0----------0--0--0----
Net investment purchase and sale ---13M-245,353.59%-50.05M---50M--0---52.9K--0-100.00%-20.39K--0--0----
Net other investing changes -70.45%2.98M-19.30%11.31M474.15%4.6M109.41%437.79K-121.89%-3.83M2,484.85%10.1M70.16%14.02M430.96%801.75K-1,494.86%-4.65M362.63%17.48M
Cash from discontinued investing activities
Investing cash flow 42.27%-2.4B-13.57%-13.13B7.71%-3.29B-24.81%-3.21B-28.94%-2.48B-18.51%-4.15B-1,134.44%-11.56B-17.74%-3.56B-37.90%-2.57B-317.59%-1.92B
Financing cash flow
Cash flow from continuing financing activities -52.78%-6.29B-414.31%-15.53B-166.86%-663.8M-37.70%-3.59B-319.94%-7.16B-1,467.87%-4.11B15.48%-3.02B972.40%992.79M-261.37%-2.61B-145.85%-1.71B
Net issuance payments of debt -165.32%-3.44B-689.88%-7.35B-154.55%-594.52M-64.68%-3.57B-70.11%-1.9B-203.04%-1.3B56.41%-931.14M8,445.56%1.09B-230.65%-2.16B-101.13%-1.12B
Cash dividends paid ---204.5M-28,226.52%-5.15B--0--0-28,226.52%-5.15B--0-126.60%-18.19M--0--0-126.60%-18.19M
Net other financing activities 66.30%-5.37M-235.56%-110.33M29.56%-38.54M65.98%-8.05M-124.98%-47.82M49.72%-15.92M136.30%81.39M22.30%-54.72M39.82%-23.66M385.45%191.44M
Cash from discontinued financing activities
Financing cash flow -52.78%-6.29B-414.31%-15.53B-166.86%-663.8M-37.70%-3.59B-319.94%-7.16B-1,467.87%-4.11B15.48%-3.02B972.40%992.79M-261.37%-2.61B-145.85%-1.71B
Net cash flow
Beginning cash position 203.51%18.49B60.39%6.09B147.48%9.85B20.23%5.13B17.72%4.56B60.39%6.09B-55.21%3.8B-12.52%3.98B-35.39%4.26B-42.13%3.87B
Current changes in cash -91.43%-2.93B440.51%12.4B309.11%8.64B1,756.21%4.72B45.11%567.16M-2,111.06%-1.53B148.99%2.29B380.97%2.11B86.10%-285.07M518.52%390.85M
End cash Position 241.14%15.56B203.51%18.49B203.51%18.49B147.48%9.85B20.23%5.13B17.72%4.56B60.39%6.09B60.39%6.09B-12.52%3.98B-35.39%4.26B
Free cash flow 30.77%3.36B430.66%27.96B745.61%9.34B259.01%8.3B272.96%7.76B1,243.41%2.57B154.09%5.27B279.86%1.1B267.32%2.31B248.20%2.08B
Currency Unit THBTHBTHBTHBTHBTHBTHBTHBTHBTHB

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