JAKS RESOURCES BERHAD

JAKS MYX
JAKS
JAKS RESOURCES BERHAD MYX
 
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Upcoming Earnings
EPS
Market Cap
Div Yield
P/E
Upcoming Earnings
EPS
Market Cap
Div Yield
P/E

JAKS financial statements

An in-depth look to JAKS RESOURCES BERHAD operating, investing, and financing activities

JAKS free cash flow for Q4 21 is 11.39M MYR. For 2021, JAKS free cash flow was -50.58M MYR and operating cash flow was -47.23M MYR.

TTM
Cash from operating activities
Funds from operations
Changes in working capital
Cash from investing activities
Purchase/sale of business, net
Purchase/sale of investments, net
Capital expenditures
Other investing cash flow items, total
Cash from financing activities
Issuance/retirement of stock, net
Issuance/retirement of debt, net
Total cash dividends paid
Other financing cash flow items, total
Free cash flow