Ozgrowth Ltd. | Cash Flow

Fiscal year is July-June. All values AUD Thousands.
2014
2015
2016
2017
2018
Funds from Operations
3,852.30
1,533.30
903.00
417.80
2,006.70
Changes in Working Capital
2,488.40
206.40
6.10
7.30
145.10
Net Operating Cash Flow
1,363.90
1,739.70
909.10
410.50
2,151.80
Purchase/Sale of Investments
10,206.60
7,987.60
6,662.30
5,011.20
9,825.10
Net Investing Cash Flow
10,206.60
7,987.60
6,662.30
5,011.20
9,825.10
Cash Dividends Paid - Total
6,291.80
5,414.80
3,610.00
1,793.60
1,784.20
Net Financing Cash Flow
6,291.80
5,093.70
3,819.00
2,213.20
1,901.20
Net Change in Cash
17,862.40
4,633.60
9,572.20
3,208.50
5,772.10
Free Cash Flow
-
-
-
410.50
2,151.90
Change in Capital Stock
-
321.10
209.00
419.50
117.10

About Ozgrowth

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Address
Alluvion Building
Perth Western Australia (WA) 6000
Australia
Employees -
Website http://www.westozfunds.com.au
Updated 09/14/2018
Ozgrowth Ltd. operates as a closed-end investment fund. It provides investors with an exposure to a portfolio of assets that are intended to show consistent positive returns. The company was founded on July 9, 2007 and is headquartered in Perth, Australia.