Toys R US ANZ Ltd (TOY) — Cash Flow-to-Debt Ratio

Latest as of December 2024: -0.23x

Toys R US ANZ Ltd (TOY) has a Cash Flow-to-Debt Ratio of -0.23x as of December 2024, meaning its operating cash flow of AU$-5.49 Million could theoretically repay 0% of its total liabilities (AU$23.38 Million) in one year. See free cash flow generation of Toys R US ANZ Ltd to measure how efficiently the company converts operating cash flow to free cash.

CF-to-Debt Ratio

-0.23x
Operating CF / Total Liabilities

Operating Cash Flow

AU$-5.49 Million
AUD

Total Liabilities

AU$23.38 Million
AUD

Data as of

Dec 2024
Most recent filing

Toys R US ANZ Ltd Cash Flow-to-Debt Ratio (2000–2024)

Historical debt coverage capacity for Toys R US ANZ Ltd across 24 annual periods. Also explore Toys R US ANZ Ltd annual equity growth to track the company's year-over-year net asset growth rate.

Annual Cash Flow-to-Debt Ratio for Toys R US ANZ Ltd (2000–2024)

Year-by-year debt coverage analysis for Toys R US ANZ Ltd. For market capitalisation and broader financial context, see Toys R US ANZ Ltd market cap and net worth.

Year CF-to-Debt Ratio Operating CF (AUD) Total Liabilities YoY Change
2024 -0.23x AU$-7.54 Million AU$33.21 Million ▲ +39.5%
2023 -0.38x AU$-12.41 Million AU$33.09 Million ▲ +40.4%
2022 -0.63x AU$-10.90 Million AU$17.31 Million ▼ -28.8%
2021 -0.49x AU$-3.91 Million AU$8.00 Million ▼ -145.3%
2020 -0.20x AU$-2.72 Million AU$13.64 Million ▲ +72.3%
2019 -0.72x AU$-8.03 Million AU$11.16 Million ▼ -149.3%
2018 -0.29x AU$-7.55 Million AU$26.16 Million ▼ -635.6%
2017 -0.04x AU$-2.75 Million AU$70.09 Million ▲ +62.3%
2016 -0.10x AU$-6.68 Million AU$64.23 Million ▲ +19.5%
2015 -0.13x AU$-7.88 Million AU$61.01 Million ▼ -539.3%
2014 0.03x AU$1.78 Million AU$60.61 Million ▼ -45.1%
2013 0.05x AU$5.61 Million AU$104.85 Million ▲ +55.6%
2012 0.03x AU$3.78 Million AU$109.92 Million ▲ +22423.4%
2011 0.00x AU$-19.00K AU$123.24 Million ▲ +99.9%
2009 -0.14x AU$-17.74 Million AU$127.21 Million ▼ -267.6%
2008 0.08x AU$12.21 Million AU$146.74 Million ▼ -34.1%
2007 0.13x AU$20.88 Million AU$165.41 Million ▲ +952.4%
2006 -0.01x AU$-2.11 Million AU$142.47 Million ▼ -105.3%
2005 0.28x AU$27.81 Million AU$100.18 Million ▲ +39.0%
2004 0.20x AU$11.99 Million AU$60.06 Million ▼ -42.6%
2003 0.35x AU$21.94 Million AU$63.12 Million ▲ +273.9%
2002 0.09x AU$5.03 Million AU$54.13 Million ▲ +124.9%
2001 -0.37x AU$-7.72 Million AU$20.65 Million ▼ -4073.4%
2000 0.01x AU$88.80K AU$9.44 Million
Cash Flow-to-Debt Ratio = Operating Cash Flow / Total Liabilities. Higher is better for debt service capacity.