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Laporan Keuangan FAST | Cash Flow Interim | REUTERS.com


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02-Sep-14 18:25 | Abang-ijo:
@hantu2, aduuuuh hari ini malah galau bro...hari selasa kurang berpihak..yah selasa berarti nelangsa...makanya tadi begitu bung Conman muncul langsung ane todong penerawangan Jeng Sril...masalahnya feeling udah kurang sreg, akhirnya beneran..nyangkut daaah...hiks...hiks...

02-Sep-14 18:23 | google *guest*:
Cek aja kalo DB sama KZ dah abis stoknya baru bisa maen katanya si CS, jd ngapain dilawan sih? Ntar cape hati bro..

02-Sep-14 18:19 | google *guest*:
@hantu2; bukannya ane dah memperingatkan fokus ke yg lain dulu tapi kata ente jg ada kepentingan..semoga besok2 ente cuan bro..good luck.

02-Sep-14 18:16 | Hantu Hantu:
wah bro AI kayaknya cuan neh, ini hari aye KACAUUU gara2 Mbak SRIl... hiks

02-Sep-14 18:14 | selamet *guest*:
kayaknya bandar ms ngak suka maen ayunan ya, masalahnya saham smsm kan ngayun terus,makanya di delete dari portfolionya.hehe. padahal masalah smsm pling beratkan cuma di kebijakan bea cukai impor baja anti dumping.

02-Sep-14 18:11 | Abang-ijo:
Pakai ilmu "Seju" aja...wkwkwkwk

02-Sep-14 18:09 | Hantu Hantu:
@Suheng Matul : ente pake ilmu yg ada aja - itu dah tingkat paling tinggi... wkwkwk

02-Sep-14 18:08 | Plintat Plintut *guest*:
Baja semakin lama semakin hancur.Satu bulan or 2 bulan lama lama jadi 100

Lihat Komentar sebelumnya...

FT.com: Rasio | Annual BS | P&L | CF | Interim BS | P&L | CF
BusinessWeek.com: Rasio | Annual BS | P&L | CF | Interim BS | P&L | CF
REUTERS.com: Rasio | Rekomendasi | Annual BS | P&L | CF | Interim BS | P&L | CF

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Reuters.com: Cash Flow Statement(Interim) saham FAST

last update: 09-May-11, 18:33:04

In Millions of Rupiah
(except for per share items)
2010
2010-12-31
Period Length
12 Months
Depreciation/Depletion --
Amortization --
Deferred Taxes --
Non-Cash Items --
Cash Receipts 2,913,600.0
Cash Payments (2,564,320.0)
Cash Taxes Paid (68,773.2)
Changes in Working Capital 13,314.5
Cash from Operating Activities 293,573.0
Capital Expenditures (61,454.7)
Other Investing Cash Flow Items, Total (190,354.0)
Cash from Investing Activities (251,809.0)
Financing Cash Flow Items --
Total Cash Dividends Paid (37,038.8)
Issuance (Retirement) of Stock, Net --
Issuance (Retirement) of Debt, Net (4,536.0)
Cash from Financing Activities (41,574.8)
Foreign Exchange Effects (414.3)
Net Change in Cash (225.2)

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