Beiersdorf Aktiengesellschaft (BDRFF)

USD 125.86

(0.0%)

Annual Cash Flows

(In EUR)
Breakdown 2023 2022 2021 2020 2019 2018
Operating Cash Flow 941 Million 797 Million 993 Million 984 Million 982 Million 868 Million
Net Income 749 Million 771 Million 655 Million 577 Million 736 Million 745 Million
Depreciation & Amortization 449 Million 287 Million 287 Million 257 Million 239 Million 165 Million
Deferred income taxes -60 Million -12 Million -17 Million -11 Million -37 Million -20 Million
Stock-based compensation - - - - - -
Change in working capital -116 Million -287 Million 96 Million 182 Million 140 Million -65 Million
Other non-cash items -141 Million 26 Million -45 Million -32 Million -133 Million 23 Million
Investing Cash Flow -341 Million -402 Million -845 Million -731 Million -750 Million -635 Million
Investments in PPE -517 Million -548 Million -413 Million -280 Million -320 Million -358 Million
Acquisitions 18 Million 3 Million 13 Million -11 Million -452 Million -87 Million
Investment purchases -509 Million -97 Million -1.11 Billion -1.25 Billion -1.15 Billion -963 Million
Sales/Maturities of investments 576 Million 680 Million 563 Million 751 Million 1.12 Billion 695 Million
Other Investing Activities 91 Million -440 Million 106 Million 61 Million 53 Million 78 Million
Financing Cash Flow -492 Million -345 Million -141 Million -317 Million -21 Million -210 Million
Debt repayment -200 Million -447 Million -57 Million -174 Million -165 Million -40 Million
Dividends payments -159 Million -159 Million -159 Million -159 Million -159 Million -159 Million
Common Stock Repurchased - - - - - -
Common Stock Issuance - - - - - -
Other Financing Activities -133 Million 261 Million -66 Million 16 Million 303 Million -11 Million
Accounts receivables -108 Million -288 Million -195 Million 195 Million -18 Million -60 Million
Accounts payables 108 Million 288 Million 436 Million -24 Million 188 Million 127 Million
Inventory 43 Million -395 Million -145 Million 11 Million -30 Million -132 Million
Other working capital -159 Million 108 Million -195 Million -24 Million 188 Million 67 Million
Cash at beginning of period 1.08 Billion 1.03 Billion 1 Billion 1.14 Billion 919 Million 901 Million
Cash at end of period 1.13 Billion 1.08 Billion 1.03 Billion 1 Billion 1.14 Billion 919 Million
Capital Expenditure -517 Million -548 Million -413 Million -280 Million -320 Million -358 Million
Effect of forex changes on cash -55 Million -6 Million 24 Million -76 Million 12 Million -5 Million
Net cash flow / Change in cash 53 Million 44 Million 31 Million -140 Million 223 Million 18 Million
Free Cash Flow 424 Million 249 Million 580 Million 704 Million 662 Million 510 Million

Cash Flow Charts