VGP NV (VGPBF)

USD 75.46

(0.0%)

Annual Cash Flows

(In EUR)
Breakdown 2023 2022 2021 2020 2019 2018
Operating Cash Flow -27.33 Million -70.63 Million -87.47 Million -52.16 Million -29.32 Million -51.03 Million
Net Income 112.74 Million -142.57 Million 763.9 Million 410.8 Million 238.11 Million 137.1 Million
Depreciation & Amortization 5.92 Million 4.47 Million 2.43 Million 2.07 Million 1.2 Million 180 Thousand
Deferred income taxes - - - - - -
Stock-based compensation - - - - - -
Change in working capital -8.24 Million -55.84 Million -40.54 Million -17.83 Million -9.28 Million -35.49 Million
Other non-cash items -137.75 Million 123.3 Million -813.26 Million -447.2 Million -259.36 Million -152.82 Million
Investing Cash Flow -8.07 Million -566.15 Million -720.42 Million -134.53 Million -125.5 Million 104.72 Million
Investments in PPE - 608.91 Million 720.45 Million 134.54 Million 125.52 Million -
Acquisitions 689.06 Million 347.37 Million 45.58 Million 394.88 Million 336 Million 438.36 Million
Investment purchases -766.38 Million -981.61 Million -783.59 Million -555.5 Million -487.12 Million -341.43 Million
Sales/Maturities of investments 758.3 Million 372.7 Million 63.14 Million 420.96 Million 361.59 Million 7.75 Million
Other Investing Activities -697.14 Million -913.52 Million -766.01 Million -529.41 Million -461.51 Million -333.64 Million
Financing Cash Flow -450.05 Million 1.11 Billion 812.58 Million 233.58 Million 162.28 Million 77.29 Million
Debt repayment -375 Million -23.5 Million -1.33 Million -1.43 Million -981 Thousand -75.75 Million
Dividends payments -75.05 Million -149.55 Million -75.12 Million -60.3 Million -40.88 Million -35.3 Million
Common Stock Repurchased - -298.7 Million - - - -
Common Stock Issuance - 298.7 Million 294.9 Million 295.32 Million - -
Other Financing Activities - 1.28 Billion 594.14 Million 295.32 Million 204.15 Million 188.35 Million
Accounts receivables -20.77 Million -43.21 Million -51.47 Million -28.24 Million -12.24 Million -24.55 Million
Accounts payables 12.53 Million -12.63 Million 10.93 Million 10.4 Million 2.96 Million -10.93 Million
Inventory - - - - - -
Other working capital 12.53 Million - - - - -
Cash at beginning of period 699.16 Million 222.16 Million 222.35 Million 176.14 Million 161.44 Million 30.26 Million
Cash at end of period 209.92 Million 699.16 Million 222.16 Million 222.35 Million 176.14 Million 161.44 Million
Capital Expenditure - 608.91 Million 720.45 Million 134.54 Million 125.52 Million -
Effect of forex changes on cash -569 Thousand -157 Thousand -1.13 Million -678 Thousand 1.11 Million -251 Thousand
Net cash flow / Change in cash -489.24 Million 477 Million -196 Thousand 46.2 Million 14.7 Million 131.17 Million
Free Cash Flow -27.33 Million 538.27 Million 632.98 Million 82.37 Million 96.2 Million -51.03 Million

Cash Flow Charts