Clariant AG (CLZNF)

USD 12.76

(0.0%)

Annual Cash Flows

(In CHF)
Breakdown 2023 2022 2021 2020 2019 2018
Operating Cash Flow 424 Million 502 Million 363 Million 369 Million 509 Million 469 Million
Net Income 168 Million 116 Million 373 Million 799 Million 38 Million 196 Million
Depreciation & Amortization 236 Million 276 Million 267 Million 269 Million 330 Million 325 Million
Deferred income taxes -5 Million 14 Million 18 Million 16 Million 20 Million -24 Million
Stock-based compensation 5 Million 8 Million 12 Million -11 Million -4 Million -3 Million
Change in working capital -2 Million -143 Million -305 Million -57 Million 96 Million -55 Million
Other non-cash items 22 Million 231 Million -2 Million -647 Million 29 Million 641 Million
Investing Cash Flow 45 Million 140 Million -143 Million 1.08 Billion -254 Million -132 Million
Investments in PPE -207 Million -212 Million -360 Million -299 Million -289 Million -257 Million
Acquisitions 7 Million 67 Million -89 Million 1.31 Billion 15 Million 14 Million
Investment purchases -27 Million -303 Million -5 Million -2 Million -289 Million -4 Million
Sales/Maturities of investments 159 Million 6 Million 254 Million 48 Million -2 Million 77 Million
Other Investing Activities 113 Million 582 Million 57 Million 22 Million 311 Million 38 Million
Financing Cash Flow -356 Million -652 Million -538 Million -1.32 Billion -440 Million -185 Million
Debt repayment -112 Million -602 Million -499 Million -472 Million -370 Million -4 Million
Dividends payments -138 Million -132 Million -230 Million -989 Million -181 Million -165 Million
Common Stock Repurchased -8 Million -8 Million -16 Million -1 Million -10 Million -
Common Stock Issuance -60 Million 76 Million 188 Million 120 Million 99 Million -
Other Financing Activities -38 Million 14 Million 19 Million 16 Million 22 Million -16 Million
Accounts receivables 94 Million -40 Million -191 Million 47 Million -23 Million 71 Million
Accounts payables -94 Million 77 Million 196 Million -58 Million -19 Million 121 Million
Inventory 66 Million -179 Million -226 Million 84 Million -13 Million -156 Million
Other working capital -68 Million -1 Million -84 Million -130 Million 151 Million -91 Million
Cash at beginning of period 394 Million 415 Million 737 Million 638 Million 833 Million 594 Million
Cash at end of period 488 Million 394 Million 415 Million 737 Million 638 Million 833 Million
Capital Expenditure -207 Million -212 Million -360 Million -299 Million -289 Million -257 Million
Effect of forex changes on cash -19 Million -11 Million -4 Million -27 Million -10 Million -20 Million
Net cash flow / Change in cash 94 Million -21 Million -322 Million 99 Million -195 Million 239 Million
Free Cash Flow 217 Million 290 Million 3 Million 70 Million 220 Million 212 Million

Cash Flow Charts