PAVILION REAL ESTATE INV TRUSTPAVILION REAL ESTATE INV TRUSTPAVILION REAL ESTATE INV TRUST

PAVILION REAL ESTATE INV TRUST

No trades
See on Supercharts

PAVREIT fundamentals

An in-depth look to PAVILION REAL ESTATE INV TRUST operating, investing, and financing activities

PAVREIT free cash flow for Q3 24 is 99.09 M MYR. For 2023, PAVREIT free cash flow was 345.26 M MYR and operating cash flow was 354.08 M MYR.

Q4 '16
Q1 '17
Q2 '17
Q3 '17
Q4 '17
Q1 '18
Q2 '18
Q3 '18
Q4 '18
Q1 '19
Q2 '19
Q3 '19
Q4 '19
Q1 '20
Q2 '20
Q3 '20
Q4 '20
Q1 '21
Q2 '21
Q3 '21
Q4 '21
Q1 '22
Q2 '22
Q3 '22
Q4 '22
Q1 '23
Q2 '23
Q3 '23
Q4 '23
Q1 '24
Q2 '24
Q3 '24
Cash from operating activities
Cash from investing activities
Cash from financing activities
Currency: MYR
Q4 '16
Q1 '17
Q2 '17
Q3 '17
Q4 '17
Q1 '18
Q2 '18
Q3 '18
Q4 '18
Q1 '19
Q2 '19
Q3 '19
Q4 '19
Q1 '20
Q2 '20
Q3 '20
Q4 '20
Q1 '21
Q2 '21
Q3 '21
Q4 '21
Q1 '22
Q2 '22
Q3 '22
Q4 '22
Q1 '23
Q2 '23
Q3 '23
Q4 '23
Q1 '24
Q2 '24
Q3 '24
TTM
Free cash flowYoY growth