cache/1575a58173c9b604ec96a0419a0ac80983a1f4fe72aef975c6031503c57198fc

COM:DOF

DOF Group

  • Stock

Last Close

90.00

22/11 15:26

Market Cap

18.41B

Beta: -

Volume Today

870.58K

Avg: -

Preview

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Sep '22
Dec '22
Mar '23
Jun '23
Sep '23
Dec '23
Mar '24
Jun '24
Sep '24
net income
163.20M
-
583M
257.24%
1.25B
115.09%
794M
36.68%
2.13B
168.14%
61M
97.13%
93M
52.46%
82M
11.83%
depreciation and amortization
-29.97M
-
274M
1,014.16%
-151M
155.11%
323M
313.91%
-1.53B
575.23%
35M
102.28%
30M
14.29%
39M
30%
deferred income tax
stock based compensation
change in working capital
40.29M
-
-456M
1,231.68%
-669M
46.71%
223M
133.33%
-34M
115.25%
-16M
52.94%
-2M
87.50%
-22M
1,000%
accounts receivables
1.03M
-
-30M
-
inventory
accounts payables
other working capital
39.26M
-
8M
-
other non cash items
-45.89M
-
17M
137.04%
45M
164.71%
15M
66.67%
47M
213.33%
5M
89.36%
4M
20%
-24M
700%
net cash provided by operating activities
127.63M
-
-194M
252.00%
141M
172.68%
825M
485.11%
603M
26.91%
55M
90.88%
73M
32.73%
75M
2.74%
investments in property plant and equipment
-22.72M
-
-156M
586.48%
-302M
93.59%
-148M
50.99%
-432M
191.89%
-25M
94.21%
-17M
32%
-22M
29.41%
acquisitions net
25M
-
purchases of investments
-2M
-
-7M
250%
-1M
85.71%
sales maturities of investments
918.29K
-
11M
-
other investing activites
-5.89M
-
-60M
919.09%
-14M
76.67%
-49M
250%
-81M
65.31%
-4M
95.06%
-4M
0%
1M
125%
net cash used for investing activites
-27.69M
-
-216M
679.95%
-291M
34.72%
-40M
86.25%
-242M
505%
-21M
91.32%
-1M
95.24%
-22M
2,100%
debt repayment
-20.62M
-
-207M
903.77%
-226M
9.18%
-383M
69.47%
-1.43B
273.37%
-36M
97.48%
-50M
38.89%
-33M
34%
common stock issued
435M
-
22M
94.94%
75M
-
common stock repurchased
dividends paid
-37M
-
-1M
-
other financing activites
15.82M
-
-152M
-
893M
687.50%
-1M
-
-11M
1,000%
net cash used provided by financing activities
-4.81M
-
207M
4,406.09%
209M
0.97%
-550M
363.16%
-537M
2.36%
-36M
93.30%
-61M
69.44%
30M
149.18%
effect of forex changes on cash
-7.17M
-
170M
2,472.41%
56M
67.06%
-36M
164.29%
-83M
130.56%
-7M
91.57%
-4M
42.86%
3M
175%
net change in cash
101.08M
-
-32M
131.66%
116M
462.50%
200M
72.41%
-260M
230.00%
-10M
96.15%
7M
170%
86M
1,128.57%
cash at beginning of period
187.16M
-
2.83B
1,409.42%
2.79B
1.13%
2.91B
4.15%
3.11B
6.88%
280M
90.99%
270M
3.57%
277M
2.59%
cash at end of period
288.24M
-
2.79B
868.98%
2.91B
4.15%
3.11B
6.88%
2.85B
8.36%
270M
90.52%
277M
2.59%
363M
31.05%
operating cash flow
127.63M
-
-194M
252.00%
141M
172.68%
825M
485.11%
603M
26.91%
55M
90.88%
73M
32.73%
75M
2.74%
capital expenditure
-22.72M
-
-156M
586.48%
-302M
93.59%
-148M
50.99%
-432M
191.89%
-25M
94.21%
-17M
32%
-22M
29.41%
free cash flow
104.90M
-
-350M
433.64%
-161M
54%
677M
520.50%
171M
74.74%
30M
82.46%
56M
86.67%
53M
5.36%

All numbers in (except ratios and percentages)