Financial Services » Investing & Securities | Troy Income & Growth Trust PLC

Troy Income & Growth Trust PLC | Cash Flow

Fiscal year is October-September. All values GBP Thousands.
2013
2014
2015
2016
2017
Funds from Operations
4,505.00
4,562.00
5,200.00
5,998.00
7,207.00
Changes in Working Capital
87.00
9.00
131.00
128.00
54.00
Net Operating Cash Flow
4,418.00
4,553.00
5,331.00
6,126.00
7,153.00
Purchase/Sale of Investments
11,642.00
475.00
8,972.00
13,191.00
3,866.00
Net Investing Cash Flow
11,642.00
475.00
8,972.00
13,706.00
4,137.00
Cash Dividends Paid - Total
4,728.00
5,196.00
5,707.00
6,391.00
7,239.00
Net Financing Cash Flow
4,869.00
6,512.00
7,505.00
10,470.00
483.00
Net Change in Cash
2,353.00
1,488.00
3,875.00
2,877.00
2,581.00
Free Cash Flow
4,418.00
4,553.00
5,331.00
6,126.00
7,153.00
Change in Capital Stock
9,597.00
1,316.00
13,212.00
16,861.00
6,756.00
Exchange Rate Effect
2.00
4.00
11.00
13.00
48.00
Other Uses
-
-
-
515.00
271.00

About Troy Income & Growth Trust

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Address
10 St. Colme Street
Edinburgh Scotland EH3 6AA
United Kingdom
Employees -
Website http://tigt.co.uk/
Updated 09/14/2018
Troy Income & Growth Trust Plc is a mutual fund closed-end investment trust, which engages in the provision of shareholders with income yield and capital growth through investing in a portfolio. The company was founded in July 1988 and is headquartered in Edinburgh, the United Kingdom. .