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Sanoma Oyj
OMXH:SANOMA

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Sanoma Oyj
OMXH:SANOMA
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Price: 7.33 EUR 0.96% Market Closed
Market Cap: 1.2B EUR
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Cash Flow Statement

Cash Flow Statement
Sanoma Oyj

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Cash Flow Statement
Currency: EUR
Jun-2014 Sep-2014 Dec-2014 Mar-2015 Jun-2015 Sep-2015 Dec-2015 Mar-2016 Jun-2016 Sep-2016 Dec-2016 Mar-2017 Jun-2017 Sep-2017 Dec-2017 Mar-2018 Jun-2018 Sep-2018 Dec-2018 Mar-2019 Jun-2019 Sep-2019 Dec-2019 Mar-2020 Jun-2020 Sep-2020 Dec-2020 Mar-2021 Jun-2021 Sep-2021 Dec-2021 Mar-2022 Jun-2022 Sep-2022 Dec-2022 Mar-2023 Jun-2023 Sep-2023 Dec-2023 Mar-2024 Jun-2024
Operating Cash Flow
Net Income
(184)
135
62
(73)
(70)
(130)
(158)
(150)
(38)
16
116
(307)
(352)
(346)
(298)
120
136
147
126
138
120
112
13
2
(14)
171
247
226
230
88
101
107
101
84
77
56
13
28
4
16
52
Depreciation & Amortization
589
271
328
331
340
354
389
388
385
371
300
299
266
240
195
160
152
144
131
132
139
147
266
274
273
281
178
184
194
200
207
205
204
216
217
223
229
226
236
235
234
Other Non-Cash Items
(253)
(256)
(265)
(149)
(165)
(139)
(137)
(136)
(124)
(137)
(145)
290
299
327
313
(72)
(103)
(88)
(53)
(66)
(40)
(38)
(49)
(36)
(44)
(220)
(219)
(220)
(232)
(61)
(70)
(77)
(82)
(80)
(78)
(83)
(80)
(72)
(81)
(77)
(69)
Cash Taxes Paid
25
22
24
24
39
42
36
36
15
17
23
23
30
33
35
40
37
39
44
46
45
45
36
34
31
24
27
26
25
26
33
32
38
42
43
36
33
35
34
34
29
Cash Interest Paid
48
50
42
46
35
27
35
30
47
48
53
43
26
28
22
13
15
13
10
12
14
15
15
16
19
19
10
16
14
14
10
11
10
11
12
14
19
23
30
40
42
Change in Working Capital
(34)
(52)
(51)
(56)
(79)
(78)
(70)
(61)
(132)
(131)
(113)
(110)
(44)
(66)
(68)
(61)
(35)
(49)
(63)
(62)
(77)
(64)
(68)
(92)
(68)
(50)
(69)
(41)
(43)
(72)
(56)
(43)
(83)
(66)
(51)
(59)
14
(38)
(11)
(4)
(47)
Cash from Operating Activities
119
N/A
97
-18%
74
-24%
53
-28%
27
-50%
8
-72%
25
+236%
42
+65%
91
+118%
120
+32%
158
+32%
172
+9%
169
-2%
154
-9%
141
-8%
147
+4%
150
+2%
154
+3%
141
-9%
143
+1%
142
0%
157
+10%
163
+4%
148
-9%
146
-1%
182
+24%
137
-24%
149
+9%
150
+0%
156
+4%
182
+16%
192
+6%
141
-27%
154
+9%
165
+7%
136
-17%
177
+30%
144
-18%
148
+3%
171
+16%
170
-1%
Investing Cash Flow
Capital Expenditures
(57)
(51)
(51)
(52)
(58)
(62)
(55)
(50)
(40)
(34)
(35)
(36)
(36)
(39)
(37)
(36)
(34)
(31)
(32)
(31)
(32)
(31)
(32)
(35)
(39)
(42)
(43)
(43)
(41)
(41)
(42)
(43)
(49)
(51)
(53)
(53)
(50)
(46)
(43)
(42)
(39)
Other Items
312
330
334
97
92
69
69
75
52
27
26
(8)
29
247
282
276
253
43
18
55
60
(145)
(181)
(219)
148
529
149
145
(223)
(400)
3
5
2
(205)
(198)
(192)
(189)
17
15
17
14
Cash from Investing Activities
255
N/A
279
+10%
283
+1%
45
-84%
33
-26%
7
-78%
14
+94%
26
+82%
12
-53%
(7)
N/A
(8)
-9%
(45)
-449%
(7)
+85%
208
N/A
245
+18%
240
-2%
219
-9%
12
-95%
(14)
N/A
24
N/A
29
+17%
(176)
N/A
(213)
-21%
(254)
-19%
110
N/A
487
+345%
106
-78%
102
-3%
(264)
N/A
(440)
-67%
(39)
+91%
(38)
+3%
(47)
-24%
(255)
-441%
(251)
+2%
(245)
+2%
(238)
+3%
(29)
+88%
(29)
+1%
(25)
+11%
(26)
-1%
Financing Cash Flow
Net Issuance of Common Stock
0
0
0
0
0
0
(3)
0
0
0
0
0
0
0
6
0
0
1
(8)
(8)
0
0
0
(1)
(2)
(2)
(2)
0
0
0
(5)
0
0
0
0
0
0
0
0
0
0
Net Issuance of Debt
(434)
(476)
(344)
(90)
(30)
39
34
(19)
(65)
(106)
(164)
(78)
(113)
(309)
(372)
(401)
(343)
(129)
(53)
(65)
(92)
102
130
144
(174)
(453)
(60)
(117)
257
269
(97)
(38)
(23)
256
165
200
(31)
(212)
(176)
(255)
(73)
Cash Paid for Dividends
(16)
(16)
(17)
0
(33)
(33)
(33)
(34)
(17)
(17)
(18)
(50)
(34)
(34)
(34)
(1)
(34)
(34)
(57)
(58)
(66)
(66)
(73)
(75)
(74)
(74)
(82)
0
(87)
(87)
(87)
0
(87)
(88)
(88)
0
(66)
(85)
(60)
0
(60)
Other
(0)
(0)
(7)
(7)
0
0
(7)
0
(7)
0
(7)
(7)
0
(15)
(11)
(13)
(11)
(13)
(10)
(7)
(18)
(8)
(9)
(8)
0
0
(1)
0
(11)
(11)
(16)
(15)
(4)
(5)
(2)
(8)
141
142
141
136
(13)
Cash from Financing Activities
(350)
N/A
(392)
-12%
(368)
+6%
(114)
+69%
(70)
+39%
(1)
+98%
(10)
-708%
(63)
-548%
(93)
-47%
(134)
-44%
(189)
-41%
(136)
+28%
(154)
-14%
(358)
-132%
(411)
-15%
(409)
+1%
(382)
+7%
(175)
+54%
(127)
+27%
(138)
-9%
(184)
-33%
25
N/A
47
+91%
60
+28%
(250)
N/A
(529)
-111%
(144)
+73%
(201)
-39%
159
N/A
171
+8%
(205)
N/A
(147)
+28%
(119)
+19%
159
N/A
75
-53%
103
+37%
44
-57%
(155)
N/A
(96)
+38%
(180)
-87%
(146)
+19%
Change in Cash
Effect of Foreign Exchange Rates
(2)
(1)
(1)
(0)
(0)
(2)
1
(0)
1
1
(1)
1
(0)
1
(0)
(1)
(1)
(1)
(0)
0
0
(0)
(0)
(1)
(0)
(1)
(0)
0
0
1
0
0
(0)
(0)
0
0
1
(0)
0
0
0
Net Change in Cash
21
N/A
(17)
N/A
(13)
+24%
(17)
-33%
(11)
+36%
12
N/A
30
+164%
4
-87%
11
+178%
(20)
N/A
(40)
-98%
(7)
+82%
8
N/A
5
-34%
(25)
N/A
(23)
+7%
(14)
+38%
(10)
+31%
(0)
+99%
29
N/A
(13)
N/A
5
N/A
(3)
N/A
(47)
-1 688%
5
N/A
139
+2 620%
99
-29%
51
-49%
45
-11%
(113)
N/A
(62)
+45%
7
N/A
(26)
N/A
57
N/A
(11)
N/A
(6)
+46%
(17)
-179%
(40)
-135%
24
N/A
(34)
N/A
(1)
+97%
Free Cash Flow
Free Cash Flow
62
N/A
46
-25%
23
-51%
1
-97%
(32)
N/A
(54)
-71%
(30)
+45%
(8)
+73%
51
N/A
86
+69%
124
+44%
136
+10%
133
-2%
116
-13%
105
-9%
110
+5%
116
+5%
123
+6%
109
-12%
112
+3%
111
-1%
126
+14%
131
+5%
112
-15%
107
-4%
140
+30%
95
-32%
107
+13%
109
+2%
115
+6%
140
+22%
149
+7%
92
-38%
103
+12%
112
+9%
83
-26%
127
+53%
99
-22%
105
+6%
129
+23%
131
+1%

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