Financial Services » Investing & Securities | Kings Arms Yard VCT PLC

Kings Arms Yard VCT PLC | Cash Flow

Fiscal year is January-December. All values GBP Thousands.
2013
2014
2015
2016
2017
Funds from Operations
559.00
130.00
-
438.00
67.00
Changes in Working Capital
76.00
370.00
8.00
-
-
Net Operating Cash Flow
483.00
240.00
8.00
438.00
67.00
Purchase/Sale of Investments
1,732.00
674.00
875.00
4,017.00
1,237.00
Net Investing Cash Flow
1,732.00
674.00
875.00
4,017.00
1,237.00
Cash Dividends Paid - Total
1,906.00
1,932.00
2,028.00
2,248.00
2,430.00
Net Financing Cash Flow
4,223.00
7.00
1,837.00
2,725.00
6,082.00
Net Change in Cash
5,472.00
427.00
2,720.00
1,730.00
4,912.00
Free Cash Flow
483.00
240.00
8.00
438.00
67.00
Change in Capital Stock
2,317.00
1,939.00
3,865.00
4,973.00
8,512.00

About Kings Arms Yard VCT

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Address
1 King's Arms Yard
London Greater London EC2R 7AF
United Kingdom
Employees -
Website http://www.albion-ventures.co.uk/ourfunds/KAY.htm
Updated 09/14/2018
Kings Arms Yard VCT Plc operates as a venture capital fund. It also invests in a portfolio of listed equities and fixed interest securities. The company was formerly known as SPARK VCT Plc.