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Trio-Tech International TRT Cash Flow Statement

FY'25FY'24FY'23
$0-100%$1.14M-35.0%$1.76M-23.5%
$2.74M-35.3%$4.23M-16.8%$5.09M+65.5%
$448K-3.7%$465K+29.9%$358K-24.6%
$106K+165%
-$5K
$142K-$1.81M-156%
-$230K
-$1.1M
-$150K+6.3%-$160K
-$567K
-$505K+3.4%-$523K-282%$287K
-$320K-$350K
-$398K
$2.8M-65.5%$8.11M
$967K+78.4%$542K-88.0%$4.5M+206%
$167K+248%-$113K+98.1%-$6.07M-1,268%
$231K$210K-17.6%
$961K-36.0%$1.5M-2.7%
$506K
$59K-47.3%$112K-6.7%$120K
-$90K+92.8%-$1.24M-236%
-$131K
$1.09M
$46K-38.7%$75K-27.9%$104K
$425K-23.8%$558K+38.5%
-$450K
-$567K
$11K$10K
-$398K
-$150K+6.3%-$160K
$150K+241%$44K-27.9%$61K
$1K
$5.8M+20.9%$4.8M-6.7%$5.14M
$59K-47.3%$112K-6.7%$120K
-$30K
-$131K
$102K-$7K+90.8%
-$505K+3.4%-$523K-282%$287K
$3K-50.0%$6K-40.0%$10K-52.4%
$4K$0-100%$5K
-$12K-71.4%-$7K
$1.45M
$279K-41.3%$475K-1.0%$480K+6.4%
-$93K-1,429%
$425K-23.8%$558K+38.5%
-$596K-125%$2.39M-33.8%$3.61M+451%
-$596K-125%$2.39M-33.8%$3.61M+451%

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Questions, answered.

How much cash does Trio-Tech International generate?
Trio-Tech International (TRT) generated $3.1M in operating cash flow over the trailing twelve months.
What is Trio-Tech International's free cash flow?
After $1.4M of capital expenditures, Trio-Tech International's free cash flow was $996.0K over the trailing twelve months, down 9.7% year over year.
Where does Trio-Tech International's cash flow data come from?
Every line is extracted from Trio-Tech International's SEC filings (10-K and 10-Q) and tagged in XBRL. Switch between quarterly, annual, and trailing-twelve-month views, or open any line for its full history and peer comparisons.