Fairmont Raffles Hotels International Inc.Toronto, Canada

Tools:

Buy A ReportBecome A Subscriber

Today's Special Offer

Fairmont Raffles Cash Flow Statement

All amounts in millions of except per share amounts.
View: Annual | Quarterly
Dec 08* Dec 00 Dec 99
Net Operating Cash Flow -- 106.7 81.9
Net Investing Cash Flow -- (244.7) (71.2)
Net Financing Cash Flow -- 174.4 (15.6)
Net Change in Cash -- 36.8 (6.3)
Depreciation & Amortization -- -- --
Capital Expenditures -- (86.8) (80.8)
Cash Dividends Paid -- 0.0 (6.4)

Copyright © 2009, Hoover's, Inc., All Rights Reserved. Legal Terms | Privacy Policy