TFF Group
TFF.PA
#7762
Rank
A$0.58 B
Marketcap
A$27.01
Share price
-1.20%
Change (1 day)
-30.52%
Change (1 year)

TFF Group (TFF.PA) - Cash on Hand

Cash on Hand as of October 2025 : A$0.15 Billion

According to TFF Group's latest financial reports the company has A$0.15 Billion in cash and cash equivalents.
A companyโ€™s cash on hand also refered as cash/cash equivalents (CCE) and Short-term investments, is the amount of accessible money a business has.

TFF Group - Cash on Hand chart (from 2010 to 2025)

Cash on Hand by year

Year Cash on Hand Change
2025-04-30A$0.14 B-8.08%
2024-04-30A$0.15 B-10.2%
2023-04-30A$0.17 B17.05%
2022-04-30A$0.14 B-1.38%
2021-04-30A$0.14 B6.82%
2020-04-30A$0.13 B54.98%
2019-04-30A$89.17 M-24.2%
2018-04-30A$0.11 B20.88%
2017-04-30A$97.32 M-2.66%
2016-04-30A$99.98 M3.88%
2015-04-30A$96.25 M92.07%
2014-04-30A$50.11 M11.4%
2013-04-30A$44.98 M47.8%
2012-04-30A$30.43 M25.36%
2011-04-30A$24.27 M6.73%
2010-04-30A$22.74 M-47.52%
2009-04-30A$43.35 M0.65%
2008-04-30A$43.07 M