UOL Group Limited (UOLGY) Cash Flow Statement Analysis - Operating Cash Flow, CapEx & Free Cash Flow - Stocknear

UOL Group Limited

OTC: UOLGY · Real-Time Price · USD
25.73
0.98 (3.95%)
At close: Oct 03, 2025, 3:58 PM
24.90
-3.23%
After-hours: Oct 03, 2025, 03:58 PM EDT

UOL Cash Flow Statement

Financials in SGD. Fiscal year is January - December.
Fiscal Year Q2 2025 Q4 2024 Q2 2024 Q4 2023 Q2 2023 Q4 2022 Q2 2022 Q4 2021 Q2 2021
Period Ending Jun 30, 2025 Dec 31, 2024 Jun 30, 2024 Dec 31, 2023 Jun 30, 2023 Dec 31, 2022 Jun 30, 2022 Dec 31, 2021 Jun 30, 2021
Net Income
205.54M 392.73M 130.39M 572.66M 135.04M 120.83M 371.04M 216.07M 91.34M
Depreciation & Amortization
66.91M -62.23M 62.23M 67.71M 59.52M 68.1M 57.98M 57.42M 53.8M
Stock-Based Compensation
n/a n/a n/a 2.26M n/a 1.67M n/a 1.89M 471.5K
Other Working Capital
n/a 83.38M -22.33M n/a -44K -108K -20K -21K -175K
Other Non-Cash Items
-19.39M 8.6M 132.23M -22.83M -45.96M 211.47M 465.42M -131.66M -195K
Deferred Income Tax
n/a n/a n/a -241.57M n/a -245.63M n/a 87.22M -67.43M
Change in Working Capital
102.83M 465.41M -318.1M -139.91M 421.88M -95.98M -476.78M 203.92M 136.92M
Operating Cash Flow
355.9M 804.51M 6.75M 238.32M 570.48M 306.09M -175.06M 434.86M 311.35M
Capital Expenditures
-38.27M 47.61M -195.34M -165.07M -358.52M -145.22M -99.38M -162.86M -67.08M
Cash Acquisitions
n/a 123.54M 48K n/a 37K -356K 389K -74.84M 834K
Purchase of Investments
n/a n/a n/a n/a -6.39M -111.83M -43.77M -1M -2.48M
Sales Maturities Of Investments
n/a n/a n/a -16.5M 17.54M 67.08M 11.45M 9.51M 9.51M
Other Investing Acitivies
-446.3M -219.57M -107.58M -44.86M 59.6M 111.83M 43.77M 109.03M 21.19M
Investing Cash Flow
-484.57M -48.42M -302.87M 87.27M -298.92M -33.39M -87.54M -163.03M -68.73M
Debt Repayment
133.42M -573.43M 654.54M n/a 164.28M n/a 389.77M n/a 109.44M
Common Stock Repurchased
n/a n/a n/a n/a -1.4M n/a -1.08M 29.59M -1.66M
Dividend Paid
-152.09M -42.25M -168.99M -25.34M -152.07M n/a -126.67M -31.66M -126.63M
Other Financial Acitivies
-127.97M -79.84M -137.39M -574.11M -121.19M -189.91M -34.36M -47.17M -33.92M
Financial Cash Flow
-146.64M -695.52M 348.16M -599.46M -108.98M -189.91M 228.74M 28.12M -51.11M
Net Cash Flow
1.19B 52.48M 1.45B -263.31M 185.56M 34.53M 317.33M -51.47M 351.66M
Free Cash Flow
317.63M 851.86M -188.59M 73.26M 211.96M 160.88M -274.44M 272M 244.27M