HOCHTIEF Aktiengesellschaft (HOT.DE)

EUR 126.8

(0.71%)

Annual Cash Flows

(In EUR)
Breakdown 2023 2022 2021 2020 2019 2018
Operating Cash Flow 1.33 Billion 1.05 Billion 387.19 Million 707.32 Million 1.6 Billion 1.37 Billion
Net Income 522.74 Million 515 Million 288.91 Million 582.08 Million -335.23 Million 718.55 Million
Depreciation & Amortization 319.56 Million 344.01 Million 314.22 Million 689.67 Million 679.99 Million 378.22 Million
Deferred income taxes 43.55 Million 47.93 Million -38.84 Million 233.24 Million -581.67 Million 135.6 Million
Stock-based compensation 4.85 Million -1 Million 765 Thousand 985 Thousand 5.79 Million 5.61 Million
Change in working capital -264.35 Million 337.4 Million -290.81 Million -227.13 Million -468.64 Million 499.61 Million
Other non-cash items 1.35 Billion -192.54 Million 112.94 Million -571.52 Million 2.3 Billion -221.73 Million
Investing Cash Flow -233.32 Million -484.58 Million -219.99 Million 647.74 Million -966.49 Million -1.8 Billion
Investments in PPE -210.78 Million -187.53 Million -79.23 Million -397.25 Million -587.32 Million -411.37 Million
Acquisitions 33.29 Million -259.52 Million -114.43 Million 1.09 Billion -155.09 Million -1.46 Billion
Investment purchases -474.99 Million -317.15 Million -194.42 Million -286.14 Million -322.07 Million -1.54 Billion
Sales/Maturities of investments 419.16 Million 73.29 Million 89.11 Million 1.44 Billion 26.07 Million 60.15 Million
Other Investing Activities 344.52 Million 206.33 Million 78.98 Million -1.2 Billion 71.92 Million 68.57 Million
Financing Cash Flow -599.95 Million -167.2 Million -1.07 Billion -632.14 Million 200.98 Million 832.55 Million
Debt repayment -35.68 Million -2.29 Billion -2.58 Billion -245.8 Million -1.24 Billion -17.18 Billion
Dividends payments -300.75 Million -161.82 Million -319.33 Million -441.02 Million -461.98 Million -317.9 Million
Common Stock Repurchased 217 Million - -4.95 Million -337.82 Million -10.38 Million 17.43 Billion
Common Stock Issuance 1.9 Million 406.39 Million 376 Thousand - 1.47 Million 909.26 Million
Other Financing Activities -401.99 Million 1.88 Billion 1.83 Billion -134.44 Million 1.92 Billion -5.35 Million
Accounts receivables - - - - - -
Accounts payables - - - - - -
Inventory - - - - - -
Other working capital -264.35 Million 337.4 Million -290.81 Million -227.13 Million -468.64 Million 253.01 Million
Cash at beginning of period 4.8 Billion 4.28 Billion 4.96 Billion 4.49 Billion 3.56 Billion 3.09 Billion
Cash at end of period 5.14 Billion 4.8 Billion 4.28 Billion 4.96 Billion 4.45 Billion 3.56 Billion
Capital Expenditure -210.78 Million -187.53 Million -79.23 Million -397.25 Million -587.32 Million -411.37 Million
Effect of forex changes on cash -158.48 Million 125.37 Million 224.97 Million -257.92 Million 55.71 Million 67.94 Million
Net cash flow / Change in cash 340.57 Million 524.39 Million -682.95 Million 465 Million 892.13 Million 470.96 Million
Free Cash Flow 1.12 Billion 863.27 Million 307.95 Million 310.07 Million 1.01 Billion 963.28 Million

Cash Flow Charts