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ASF Group builds cash reserves as investment portfolio reshapes
4:24pm on Tuesday 29th of September, 2026 AEST
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Diversified Investments
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ASF Group builds cash reserves as investment portfolio reshapes
4:24pm on Tuesday 29th of September, 2026 AEST
Key Points
A$4.09 million profit attributable to shareholders, down from A$25.82 million
A$4.8 million generated from investment and subsidiary disposals
Cash increased to A$5.19 million and net assets to A$5.65 million
No outstanding borrowings, but operating cash flow remained negative
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