SA Catana Group (0OGG.L)

EUR 4.86

(-2.22%)

Annual Cash Flows

(In EUR)
Breakdown 2023 2022 2021 2020 2019 2018
Operating Cash Flow 14.07 Million 37.38 Million 18.49 Million 9.26 Million 13.86 Million 5.59 Million
Net Income 19.35 Million 15.9 Million 14.13 Million 5.19 Million 8.99 Million 3.45 Million
Depreciation & Amortization 5.5 Million 5.2 Million 4.74 Million 4.14 Million 3.13 Million 2.37 Million
Deferred income taxes 3.33 Million 2.75 Million -2.52 Million -7000.00 -2.93 Million -992 Thousand
Stock-based compensation 518 Thousand 73 Thousand 153 Thousand 489 Thousand - -
Change in working capital -16.99 Million 11.82 Million 1.87 Million -850 Thousand -1.91 Million -5.17 Million
Other non-cash items 2.36 Million 1.62 Million 108 Thousand 294 Thousand 1.73 Million -238 Thousand
Investing Cash Flow -9.83 Million -5.49 Million -5.85 Million -8.72 Million -10.05 Million -4.31 Million
Investments in PPE -10.97 Million -4.99 Million -6.05 Million -7.81 Million -9.5 Million -4.25 Million
Acquisitions 636.99 Thousand 53 Thousand 197 Thousand -853.99 Thousand -565 Thousand -60 Thousand
Investment purchases - - - - - -
Sales/Maturities of investments - - - - - -
Other Investing Activities 506 Thousand -554 Thousand 2000.00 -58 Thousand 6000.00 1000.00
Financing Cash Flow -8.27 Million -10.3 Million -1.95 Million 22.49 Million 563 Thousand 2.17 Million
Debt repayment -1.51 Million -3.11 Million -1.96 Million -22.58 Million -683 Thousand -1.48 Million
Dividends payments -4.48 Million -3.99 Million - - - -
Common Stock Repurchased -2.21 Million -3.14 Million - -10 Thousand -30 Thousand -
Common Stock Issuance 3.1 Million 6.41 Million 117 Thousand - - 3.75 Million
Other Financing Activities -3.17 Million -6.47 Million -105 Thousand 45.09 Million 1.27 Million -86 Thousand
Accounts receivables 4.28 Million -22.16 Million 4.7 Million -2.19 Million -945 Thousand -2.52 Million
Accounts payables 5.92 Million 12.06 Million -5.04 Million 120 Thousand 4.17 Million 1.61 Million
Inventory -30.19 Million -16.17 Million -5.48 Million -3.78 Million -965 Thousand -2.65 Million
Other working capital 2.99 Million 38.09 Million 7.69 Million 5 Million -4.17 Million -1.61 Million
Cash at beginning of period 67.16 Million 45.58 Million 35.01 Million 11.98 Million 7.4 Million 3.99 Million
Cash at end of period 63.14 Million 67.16 Million 45.58 Million 35.01 Million 11.85 Million 7.4 Million
Capital Expenditure -10.97 Million -4.99 Million -6.05 Million -7.81 Million -9.5 Million -4.25 Million
Effect of forex changes on cash -1001.00 2000.00 -9000.00 -2000.00 82 Thousand -42 Thousand
Net cash flow / Change in cash -4.02 Million 21.58 Million 10.56 Million 23.02 Million 4.45 Million 3.4 Million
Free Cash Flow 3.09 Million 32.39 Million 12.43 Million 1.44 Million 4.36 Million 1.33 Million

Cash Flow Charts