Companies: 10,795·Total market cap: $144.5T
True Corporation Public Company Limited

True Corporation Public Company Limited

TCPFFOTCCommunication Services● Active
$0.43
$-0.00(-0.00%)
Market Cap$14.7B
P/E Ratio
52W High$0.4252
52W Low$0.1
Overview

True Corporation Public Company Limited(TCPFF)· 现金流量表

年度 / 季度 / TTM 视图 · SEC 10-K 与 10-Q(经 FMP 聚合)· 可在下方切换周期与 M/B/T 单位。

FMP · TCPFF · 截至 2026-06-10

财务报表

Operating CF · CapEx · Free Cash Flow
Breakdown2025-122024-122023-122022-122021-12
Operating Activities
Net Income$9.23B($10.77B)($17.50B)($17.98B)($1.37B)
Depreciation & Amort.$70.79B$72.02B$67.18B$53.41B$48.20B
Stock-Based Comp.$0.00B$0.00B$0.00B$0.00B$0.00B
Change in Working Capital($8.27B)($3.38B)($2.11B)($4.41B)($10.64B)
Net Cash from Operations$84.02B$78.45B$62.60B$35.22B$35.46B
Investing Activities
Capital Expenditure($25.61B)($45.29B)($28.71B)($56.11B)($58.85B)
Purchases of Investments($0.06B)($0.02B)($0.26B)($0.18B)($0.46B)
Sales of Investments$0.07B$0.01B$0.00B$0.00B($14.99B)
Net Cash from Investing($60.13B)($42.97B)($45.83B)($50.31B)($56.81B)
Financing Activities
Common Stock Repurchased$0.00B$0.00B$0.00B$0.00B$0.00B
Dividends Paid($6.56B)$0.00B$0.00B($2.33B)($2.33B)
Debt Issued / Repaid($9.29B)($42.20B)$0.00B$22.27B$21.71B
Net Cash from Financing($32.84B)($42.22B)($21.86B)$20.06B$18.98B
Free Cash Flow
Free Cash Flow$58.42B$33.15B$33.88B($20.88B)($23.40B)
FCF Margin %(computed)29.88%16.09%16.70%-15.46%-16.29%

数据来源:Financial Modeling Prep · 最后更新:2026-06-10 · THB · B

深入了解True Corporation Public Company Limited

关于True Corporation Public Company Limited(TCPFF)现金流量表

True Corporation Public Company Limited 2025财年经营活动现金流$84.02B,自由现金流$58.42B(FCF利润率29.88%),资本支出($25.61B)。

常见问题

TCPFF · 4 问

True Corporation Public Company Limited 2025财年自由现金流$58.42B,同比up76.2%。

TCPFF free cash flowFCF margincash flow yield

· Source: FMP /stable/cash-flow-statement · SEC EDGAR Form 10-K & 10-Q · As of 2026-06-10