Iveco Group N.V. (IVG.MI)

EUR 9.62

(0.92%)

Annual Cash Flows

(In EUR)
Breakdown 2023 2022 2021 2020 2019 2018
Operating Cash Flow 1.33 Billion 1.4 Billion 539 Million 559 Million 709 Million 355 Million
Net Income 234 Million 159 Million 76 Million -372 Million 101 Million 183 Million
Depreciation & Amortization 596 Million 560 Million 567 Million 580 Million 541 Million 465 Million
Deferred income taxes 30 Million -11 Million 43 Million -158 Million -11 Million 36 Million
Stock-based compensation 19 Million 17 Million 18 Million 8 Million 4 Million 8 Million
Change in working capital 289 Million 762 Million -122 Million 254 Million 30 Million -285 Million
Other non-cash items 506 Million -74 Million 18 Million 97 Million 37 Million -8 Million
Investing Cash Flow -2.22 Billion -1.34 Billion -45 Million -90 Million -754 Million -213 Million
Investments in PPE -970 Million -777 Million -564 Million -401 Million -492 Million -437 Million
Acquisitions 17 Million -30 Million -44 Million 3 Million 21 Million 1 Million
Investment purchases -40 Million -30 Million -44 Million -222 Million -96 Million -
Sales/Maturities of investments - 29 Million 85 Million -3 Million -21 Million -
Other Investing Activities -1.23 Billion -532 Million 522 Million 533 Million -166 Million 224 Million
Financing Cash Flow 1.48 Billion 1.34 Billion -88 Million -407 Million -29 Million -55 Million
Debt repayment -827 Million -442 Million -63 Million -47 Million -216 Million -53 Million
Dividends payments - -1 Million - - -1 Million -1 Million
Common Stock Repurchased -55 Million - - - - -
Common Stock Issuance - - - - - -
Other Financing Activities 2.37 Billion 1.78 Billion -25 Million -360 Million 188 Million -54 Million
Accounts receivables -90 Million -35 Million 115 Million -107 Million 40 Million -43 Million
Accounts payables 368 Million 555 Million 42 Million 102 Million 150 Million -8 Million
Inventory -97 Million -219 Million -496 Million 133 Million -84 Million -198 Million
Other working capital 108 Million 461 Million 217 Million 126 Million -76 Million 40 Million
Cash at beginning of period 2.28 Billion 897 Million 463 Million 417 Million 496 Million 456 Million
Cash at end of period 2.69 Billion 2.28 Billion 897 Million 463 Million 417 Million 496 Million
Capital Expenditure -970 Million -777 Million -564 Million -401 Million -492 Million -437 Million
Effect of forex changes on cash -191 Million -21 Million 28 Million -16 Million -5 Million -47 Million
Net cash flow / Change in cash 410 Million 1.39 Billion 434 Million 46 Million -79 Million 40 Million
Free Cash Flow 366 Million 630 Million -25 Million 158 Million 217 Million -82 Million

Cash Flow Charts