Koninklijke BAM Groep NV
AEX:BAMNB

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Koninklijke BAM Groep NV
AEX:BAMNB
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Price: 4.216 EUR 1.1% Market Closed
Market Cap: 1.2B EUR
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Cash Flow Statement

Cash Flow Statement
Koninklijke BAM Groep NV

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Cash Flow Statement
Currency: EUR
Dec-2005 Mar-2006 Jun-2006 Sep-2006 Dec-2006 Mar-2007 Jun-2007 Sep-2007 Dec-2007 Mar-2008 Jun-2008 Sep-2008 Dec-2008 Mar-2009 Jun-2009 Sep-2009 Dec-2009 Mar-2010 Jun-2010 Sep-2010 Dec-2010 Mar-2011 Jun-2011 Sep-2011 Dec-2011 Mar-2012 Jun-2012 Sep-2012 Dec-2012 Dec-2018 Jun-2019 Dec-2019 Jun-2020 Dec-2020 Jun-2021 Dec-2021 Jun-2022 Dec-2022 Jun-2023 Dec-2023 Jun-2024
Operating Cash Flow
Net Income
154
162
173
111
138
162
174
262
351
346
357
353
166
123
77
41
36
37
45
(76)
18
29
32
146
128
113
(188)
(190)
(183)
24
(28)
12
(170)
(122)
132
17
82
178
153
175
170
Depreciation & Amortization
92
89
92
91
99
97
99
99
102
92
91
91
96
90
91
94
103
96
96
96
108
108
110
108
106
88
82
81
84
70
149
160
160
159
147
145
125
117
109
121
126
Other Non-Cash Items
55
53
96
46
91
57
35
44
(95)
(71)
(72)
(85)
117
104
124
117
6
(12)
(56)
41
8
35
52
(56)
(35)
(32)
240
257
102
81
109
29
157
75
(83)
11
(12)
(35)
(34)
(6)
(24)
Cash Taxes Paid
51
51
66
46
53
27
52
95
118
127
107
111
82
117
105
64
52
30
9
(12)
4
(3)
38
23
14
15
(15)
22
16
13
21
16
15
8
(3)
0
13
15
18
22
32
Cash Interest Paid
47
50
66
52
95
104
110
121
113
115
126
124
122
121
116
103
112
105
112
113
101
109
109
119
130
133
102
127
50
16
26
22
21
24
32
26
14
11
11
15
19
Change in Working Capital
(501)
(344)
(457)
(208)
(111)
(145)
(256)
(356)
(433)
(432)
(467)
(440)
(251)
(230)
(43)
34
197
45
(19)
(67)
(340)
(400)
(552)
(605)
(653)
(743)
(473)
(621)
(195)
18
(170)
164
473
496
346
104
(280)
(413)
(183)
(185)
(238)
Cash from Operating Activities
(201)
N/A
(52)
+74%
(94)
-83%
42
N/A
216
+413%
176
-19%
55
-68%
51
-7%
(74)
N/A
(56)
+24%
(83)
-47%
(73)
+12%
127
N/A
96
-24%
259
+169%
295
+14%
343
+16%
175
-49%
76
-57%
4
-95%
(206)
N/A
(229)
-11%
(359)
-57%
(406)
-13%
(455)
-12%
(564)
-24%
(327)
+42%
(462)
-41%
(192)
+58%
192
N/A
60
-69%
364
+509%
618
+70%
608
-2%
549
-10%
278
-49%
(76)
N/A
(154)
-101%
46
N/A
106
+131%
33
-69%
Investing Cash Flow
Capital Expenditures
(137)
0
0
0
(139)
0
0
0
(220)
0
0
0
(198)
0
0
0
0
0
0
(59)
(81)
(89)
(119)
(69)
120
124
0
0
(111)
(80)
(207)
(87)
(141)
(61)
(55)
(69)
(48)
(94)
(81)
(84)
(92)
Other Items
(56)
(339)
(235)
(246)
(275)
31
(115)
(167)
35
69
118
134
(15)
(73)
(127)
(107)
(254)
(238)
(79)
32
96
160
165
125
137
148
172
329
206
6
53
(17)
102
121
78
(96)
(154)
(69)
(31)
(7)
(21)
Cash from Investing Activities
(193)
N/A
(476)
-147%
(372)
+22%
(383)
-3%
(414)
-8%
(109)
+74%
(254)
-134%
(307)
-21%
(185)
+40%
(151)
+18%
(102)
+32%
(86)
+16%
(213)
-148%
(272)
-27%
(325)
-20%
(306)
+6%
(254)
+17%
(238)
+6%
(79)
+67%
(27)
+66%
15
N/A
71
+369%
45
-36%
56
+22%
258
+364%
272
+6%
331
+22%
497
+50%
100
-80%
(74)
N/A
(153)
-107%
(104)
+32%
(39)
+63%
60
N/A
23
-63%
(166)
N/A
(201)
-22%
(163)
+19%
(112)
+31%
(91)
+19%
(113)
-24%
Financing Cash Flow
Net Issuance of Common Stock
111
0
0
0
(0)
0
0
0
0
0
0
0
0
0
0
0
0
0
0
240
240
240
240
(0)
(0)
(0)
0
0
0
(15)
(32)
(17)
0
0
0
0
0
(14)
(26)
(20)
(36)
Net Issuance of Debt
246
0
0
0
174
0
0
0
358
0
0
0
206
0
0
0
0
0
0
126
150
213
291
252
289
86
(150)
(148)
(278)
(40)
(82)
(136)
261
299
(642)
(662)
(130)
(79)
(57)
(67)
(74)
Cash Paid for Dividends
(40)
0
0
0
(54)
0
0
0
(60)
0
0
0
(122)
0
0
0
0
0
0
(16)
(14)
(14)
(18)
(2)
(3)
(3)
(17)
(17)
(18)
(11)
(31)
(19)
(0)
0
0
0
0
0
(22)
(22)
(26)
Other
(0)
183
21
(7)
(1)
(195)
65
228
(1)
47
(112)
(160)
3
(6)
12
(58)
104
70
333
42
0
0
0
0
0
0
0
0
(0)
(0)
0
(1)
0
(5)
(5)
0
0
0
0
0
0
Cash from Financing Activities
317
N/A
500
+58%
338
-32%
310
-8%
120
-61%
(74)
N/A
186
N/A
349
+87%
298
-15%
345
+16%
187
-46%
138
-26%
87
-37%
78
-10%
96
+23%
26
-73%
104
+301%
70
-32%
333
+375%
393
+18%
376
-4%
409
+9%
241
-41%
249
+4%
286
+15%
83
-71%
(167)
N/A
(164)
+1%
(296)
-80%
(67)
+77%
(146)
-118%
(173)
-18%
260
N/A
294
+13%
(647)
N/A
(662)
-2%
(130)
+80%
(93)
+29%
(105)
-12%
(109)
-4%
(136)
-25%
Change in Cash
Effect of Foreign Exchange Rates
14
7
4
(2)
(4)
3
0
(13)
(23)
(44)
(38)
(29)
(57)
(33)
(18)
(30)
13
8
17
14
12
3
(28)
(3)
7
14
29
21
5
(3)
(8)
23
(6)
(28)
33
46
(2)
(34)
2
10
9
Net Change in Cash
(62)
N/A
(20)
+68%
(124)
-517%
(33)
+73%
(81)
-147%
(5)
+94%
(13)
-169%
81
N/A
15
-81%
94
+522%
(36)
N/A
(50)
-37%
(57)
-14%
(131)
-131%
13
N/A
(15)
N/A
206
N/A
15
-93%
346
+2 163%
384
+11%
198
-49%
253
+28%
(101)
N/A
(105)
-4%
95
N/A
(195)
N/A
(135)
+31%
(107)
+20%
(383)
-258%
48
N/A
(247)
N/A
110
N/A
834
+656%
935
+12%
(43)
N/A
(504)
-1 078%
(410)
+19%
(443)
-8%
(169)
+62%
(84)
+50%
(207)
-147%
Free Cash Flow
Free Cash Flow
(338)
N/A
(52)
+85%
(94)
-83%
42
N/A
77
+83%
176
+127%
55
-68%
51
-7%
(295)
N/A
(56)
+81%
(83)
-47%
(73)
+12%
(71)
+3%
96
N/A
259
+169%
295
+14%
343
+16%
175
-49%
76
-57%
(55)
N/A
(286)
-418%
(318)
-11%
(478)
-50%
(476)
+1%
(334)
+30%
(440)
-32%
(327)
+26%
(462)
-41%
(303)
+34%
112
N/A
(147)
N/A
277
N/A
477
+72%
547
+15%
494
-10%
208
-58%
(124)
N/A
(248)
-100%
(36)
+86%
21
N/A
(59)
N/A

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