Aveo Group | AOG | Real estate


Performance  |  Valuation  |  Growth  |  Summary |  Balance Sheet  |  Income Statement  |  Cash Flow
A$ in Million. Fiscal year ends in June. Figures are consolidated and restated.

  
2008
2009
2010
2011
2012
2013
2014
2015
2016
2017
Cash flow Operating Act...
Cash flow Operating Activities
611518654-4257118112293243
Investments in PPE
Investments in PPE
-70-46-8-3-3-0.8-2-5-8-61
Cash flow Investing Act...
Net cash used for Investment Activities
-192-47-24-43-36556-77-269-411
Cash flow Financing Act...
Net cash provided by Financing Activities
181-74-131-3681-99-131-26-22181
Cash at beginning of period
Cash at beginning of period
1813739151831243335
Cash at end of period
Cash at end of period
1373915183124333547
Free Cash Flow
Free Cash Flow
-636817952-4556116107286182