
TPSE
Data as of Jan 16, 2026
| Item | 2024 | 2023 |
|---|---|---|
Cash Generated from Operating Activities | 1.76B | 2.24B |
Cash used in Financing Activities | -41.00M | -32.09M |
Cash used in Investing Activities | -765.73M | -577.37M |
Ungrouped | -252.41M | -833.07M |
| Total Cash Flow | 695.87 M | 792.52 M |
Calculate investment returns based on past performance
Note, past performance is not indicative of futture performance