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Central Pattana Public Company Limited

CPNNF

Closed
$ 1.80
0
0%
+

Balance General de Central Pattana Public Company Limited

Concepto
Activos Totales
Activos Corrientes
Efectivo, Equivalentes de Efectivo e Inversiones a Corto Plazo
Efectivo y Equivalentes
Otras Inversiones a Corto Plazo
Cuentas por Cobrar
Inventario
Otros Activos Corrientes
Total de activos no corrientes
Propiedad, Planta y Equipo
Inversiones a Largo Plazo
Pasivos Totales
Pasivos Corrientes
Cuentas por Pagar
Deuda Corriente
Ingresos Diferidos
Total de Pasivos No Corrientes Neto de Interés Minoritario
Deuda a Largo Plazo
Otras Obligaciones a Largo Plazo
Capital de Acciones Comunes
Capital de Trabajo
Capital Invertido
Deuda Total
Deuda Neta
2023
2022
2021
2020
2019
2018
8,125M
25,546M
147M
0M
146M
727M
477M
-1,351M
254,327M
0M
45,915M
5,205M
53,868M
4,100M
1,152M
75M
125,423M
39,762M
29M
2,679M
-28,322M
169,034M
3,580M
3,579M
7,864M
25,242M
177M
0M
175M
722M
394M
-1,293M
247,450M
172,707M
43,521M
5,280M
42,032M
3,513M
868M
77M
141,040M
52,305M
8M
2,350M
-16,790M
161,220M
3,709M
3,707M
7,926M
22,948M
182M
0M
181M
768M
303M
-1,253M
240,473M
169,848M
42,381M
5,458M
43,492M
2,781M
990M
71M
137,853M
50,685M
5M
2,198M
-19,978M
153,882M
3,850M
3,849M
7,398M
23,765M
308M
0M
298M
731M
301M
-1,341M
197,888M
163,224M
10,141M
4,824M
30,433M
2,585M
686M
71M
114,096M
28,355M
0M
2,296M
-6,668M
115,277M
3,084M
3,073M
5,677M
547M
102M
0M
33M
166M
279M
-547M
1,676M
106,100M
13,923M
2,990M
296M
0M
296M
74M
2,694M
25,164M
1M
2,408M
-4,697M
106,157M
1,136M
1,067M
161,708M
15,256M
0M
0M
46M
4,447M
7,787M
0M
146,407M
110,059M
11,981M
87,532M
24,583M
1,782M
0M
0M
62,919M
19,522M
234M
65,726M
-9,312M
96,214M
0M
27,467M
Concepto
Activos Totales
Activos Corrientes
Efectivo, Equivalentes de Efectivo e Inversiones a Corto Plazo
Efectivo y Equivalentes
Otras Inversiones a Corto Plazo
Cuentas por Cobrar
Inventario
Otros Activos Corrientes
Total de activos no corrientes
Propiedad, Planta y Equipo
Inversiones a Largo Plazo
Pasivos Totales
Pasivos Corrientes
Cuentas por Pagar
Deuda Corriente
Ingresos Diferidos
Total de Pasivos No Corrientes Neto de Interés Minoritario
Deuda a Largo Plazo
Otras Obligaciones a Largo Plazo
Capital de Acciones Comunes
Capital de Trabajo
Capital Invertido
Deuda Total
Deuda Neta
4Q2023
3Q2023
2Q2023
1Q2023
4Q2022
3Q2022
2Q2022
1Q2022
4Q2021
3Q2021
8,125M
25,546M
147M
0M
146M
727M
477M
-1,351M
254,327M
0M
45,915M
5,205M
53,868M
4,100M
1,152M
75M
125,423M
39,762M
29M
2,679M
-28,322M
169,034M
3,580M
3,579M
7,654M
23,533M
119M
0M
60M
672M
422M
-1,213M
255,712M
0M
45,993M
5,003M
53,269M
1,194M
1,097M
51M
129,256M
41,942M
12M
2,426M
-29,735M
167,609M
3,490M
3,430M
7,874M
25,546M
166M
0M
87M
690M
442M
-1,298M
252,686M
174,711M
45,599M
5,282M
49,551M
1,300M
1,020M
53M
137,077M
50,318M
10M
2,360M
-24,005M
166,879M
3,702M
3,623M
8,049M
24,239M
157M
0M
91M
708M
426M
-1,291M
251,212M
4,290M
45,125M
5,332M
47,455M
1,103M
1,016M
54M
135,012M
46,574M
10M
2,478M
-23,216M
163,293M
3,718M
3,652M
7,864M
25,242M
177M
0M
175M
722M
394M
-1,293M
247,450M
172,707M
43,521M
5,280M
42,032M
3,513M
868M
53M
141,040M
52,305M
8M
2,350M
-16,790M
161,220M
3,709M
3,707M
7,127M
1,149M
149M
0M
63M
671M
328M
-1,149M
1,563M
172,177M
43,514M
4,828M
863M
0M
863M
49M
2,744M
50,099M
8M
2,085M
-19,800M
158,871M
3,407M
3,321M
266,562M
21,769M
0M
0M
3,924M
6,649M
10,844M
0M
240,869M
168,605M
42,832M
182,587M
46,471M
987M
0M
0M
136,117M
50,769M
7M
75,860M
-20,777M
158,818M
0M
78,683M
264,879M
21,153M
0M
0M
3,383M
7,211M
10,301M
0M
240,343M
168,983M
42,482M
180,638M
38,572M
629M
0M
0M
142,066M
55,295M
6M
75,366M
-14,036M
155,600M
0M
76,593M
263,421M
20,588M
0M
0M
2,926M
7,395M
10,062M
0M
239,906M
169,848M
42,381M
181,346M
43,492M
708M
0M
0M
137,853M
50,685M
5M
73,102M
-19,978M
153,882M
0M
77,648M
257,872M
21,216M
0M
0M
3,506M
7,115M
9,645M
0M
233,149M
169,215M
36,657M
167,352M
38,540M
447M
0M
0M
128,813M
41,251M
4M
71,391M
-13,817M
138,508M
0M
62,659M