UPM-Kymmene Oyj (UPMMY)

USD 26.59

(0.53%)

Annual Cash Flows

(In EUR)
Breakdown 2023 2022 2021 2020 2019 2018
Operating Cash Flow 2.26 Billion 508 Million 1.25 Billion 1 Billion 1.84 Billion 1.39 Billion
Net Income 388 Million 1.55 Billion 1.3 Billion 568 Million 1.07 Billion 1.49 Billion
Depreciation & Amortization 537 Million 522 Million 515 Million 541 Million 490 Million 422 Million
Deferred income taxes -90 Million -16 Million -13 Million -12 Million 53 Million 99 Million
Stock-based compensation 15 Million 16 Million 13 Million 12 Million 14 Million 13 Million
Change in working capital 416 Million -687 Million -115 Million -94 Million 276 Million -230 Million
Other non-cash items 1.67 Billion -883 Million -457 Million -10 Million -59 Million -297 Million
Investing Cash Flow -1.04 Billion -1.58 Billion -1.32 Billion -879 Million -415 Million -260 Million
Investments in PPE -1.08 Billion -1.47 Billion -1.52 Billion -875 Million -403 Million -303 Million
Acquisitions 33 Million -112 Million 157 Million 17 Million -344 Million 142 Million
Investment purchases -10 Million -47 Million -1.4 Billion -51 Million -29 Million -
Sales/Maturities of investments 11 Million 2 Million 10 Million 2 Million 1 Million 17 Million
Other Investing Activities 10 Million 49 Million 1.44 Billion 28 Million 360 Million 26 Million
Financing Cash Flow -2.6 Billion 1.68 Billion -194 Million 71 Million -783 Million -959 Million
Debt repayment -1.66 Billion -2.55 Billion -16 Million -31 Million -6 Million -331 Million
Dividends payments -799 Million -693 Million -693 Million -693 Million -693 Million -613 Million
Common Stock Repurchased - - - - - -
Common Stock Issuance - - - - - -
Other Financing Activities -143 Million 4.93 Billion 515 Million 795 Million -84 Million -15 Million
Accounts receivables 854 Million -400 Million -445 Million -6 Million 270 Million -50 Million
Accounts payables -731 Million 378 Million 601 Million -133 Million -276 Million 158 Million
Inventory 293 Million -665 Million -271 Million 45 Million 282 Million -317 Million
Other working capital -730 Million 378 Million 601 Million -132 Million -276 Million 87 Million
Cash at beginning of period 2.06 Billion 1.46 Billion 1.72 Billion 1.53 Billion 888 Million 716 Million
Cash at end of period 632 Million 2.06 Billion 1.46 Billion 1.72 Billion 1.53 Billion 888 Million
Capital Expenditure -1.08 Billion -1.47 Billion -1.52 Billion -875 Million -403 Million -303 Million
Effect of forex changes on cash -16 Million -3 Million 8 Million -13 Million -1 Million -
Net cash flow / Change in cash -1.43 Billion 607 Million -260 Million 184 Million 648 Million 172 Million
Free Cash Flow 1.18 Billion -969 Million -271 Million 130 Million 1.44 Billion 1.08 Billion

Cash Flow Charts