Turquoise Hill Resources Ltd (TRQ)

CA9004352071 - Common Stock

31.41  -0.29 (-0.91%)

After market: 31.48 +0.07 (+0.22%)

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TTM
(2022-9-30)
2021
(2021-12-31)
2020
(2020-12-31)
2019
(2019-12-31)
2018
(2018-12-31)
CASH FLOWS FROM OPERATING ACTIVITIES
Net Income
734.94M681.12M494.60M-476.90M394.30M
Depreciation Amortization
174.79M165.37M181.30M192.10M211.20M
Change In Working Capital
-494.70M-304.34M-618.80M-227.50M-341.40M
Interest Paid
277.07M276.39M316.80M427.50M261.40M
Taxes Paid
227.14M49.25M340.30M-147.10M150.50M
Other non cash items
52.19M33.94M-16.20M500.70M-84.10M
OPERATING CASH FLOW
467.22M576.09M40.90M-11.70M180.00M
 
CASH FLOWS FROM INVESTING ACTIVITIES
Capital Expenditure
-1.06B-996.92M-1.08B-1.31B-1.30B
Other Investing Activity
18.30M39.68M538.10M1.38B1.27B
INVESTING CASH FLOW
-1.04B-957.24M-542.40M66.90M-33.70M
 
CASH FLOWS FROM FINANCING ACTIVITIES
Debt Issued/Reduced
-68.11M-47.57M-27.60M-6.40M13.30M
Stock Issued/Repurchased
N/AN/AN/AN/AN/A
Other Financing Activity
N/AN/A0.00-100.00K-400.00K
FINANCING CASH FLOW
-68.11M-47.57M-27.60M-6.50M12.90M
 
Exchange Rate Effect
-145.00K-603.00K800.00K100.00K-900.00K
CHANGE IN CASH
-640.62M-429.33M-528.30M48.80M158.30M
 
FREE CASH FLOW
Operating Cash Flow
467.22M576.09M40.90M-11.70M180.00M
Capital Expenditure
-1.06B-996.92M-1.08B-1.31B-1.30B
FREE CASH FLOW
-590.67M-420.82M-1.04B-1.32B-1.12B

All data in USD

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