Cash Flow Statement · TASI 2030

Saudi Arabia Refineries Company
Net cash from operating activities history.

Cash generated or used by the company’s core operating activities. Explore 2 reported observations from 2023 to 2024, with every value linked to its official evidence.

Coverage2023–20242 source-linked periods
Annual history2audited financial years
Interim history0quarterly or year-to-date periods
StatementCash Flow Statementas reported by the issuer
Annual series

Net cash from operating activities

Like-for-like reporting durations. Source units normalized for comparison; reported values and evidence are preserved below.

2024HISTORICALNet cash from operating activities5.15M SAR
Net cash from operating activities02M4M6M20232024
Hover or tap to exploreSAR
Official evidence ledger

Every value, period and source.

Normalized values support comparison. The reported value and unit preserve the original filing presentation.

PeriodReported valueComparable valueReported lineEvidence
FY 20242024-12-315,151,121Year ended 31 December 2024 · units5.15M SARNet cash generated from operating activitiesOfficial p. 10 ↗Open statement →
FY 20232023-12-315,151,121Year ended 31 December 2023 · units5.15M SARNet cash generated from operating activitiesOfficial p. 10 ↗Open statement →
How to read this series

Reported first. Comparable second.

RUKNasi preserves each issuer-reported label and value, then applies the filing’s unit multiplier only for the comparable display and chart. Annual and interim observations remain visibly separated because their durations may differ.

سجل مالي موثق بالمصدر

المصافي — Net cash from operating activities

تُعرض القيم كما وردت في القوائم المالية الرسمية، مع فصل الفترات السنوية والمرحلية وربط كل قيمة بصفحة المصدر الرسمي. القيم المعروضة للمقارنة تطبق وحدة القائمة فقط ولا تغير الرقم الأصلي.