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Tiger Brands Limited (TBLMF)
OTHER OTC:TBLMF
US Market

Tiger Brands (TBLMF) Cash flow

22 Followers

Tiger Brands Cash Flow

TBLMF's free cash flow for Q2 2026 was Rs1.03B. For the 2026 fiscal year, TBLMF's free cash flow was decreased by Rs-886.90M and operating cash flow was Rs1.74B. See a summary of the company’s cash flow.
Cash Flow
Sep 25Sep 24Sep 23Sep 22Sep 21
Operating Cash Flow
Rs 2.28BRs 2.95BRs 370.20MRs 603.80MRs 1.61B
Investing Cash Flow
Rs 2.02BRs -664.70MRs -1.14BRs -1.04BRs -855.80M
Financing Cash Flow
Rs -2.42BRs -3.33BRs -1.08BRs -654.90MRs -245.30M
End Cash Position
Rs 3.23BRs 1.30BRs 775.90MRs 1.12BRs 2.16B
Free Cash Flow
Rs 1.09BRs 1.98BRs -842.40MRs -357.20MRs 599.00M
Currency in ZAR

Tiger Brands Cash Flow