P

Pandora A/S
OTC:PANDY

Watchlist Manager
Pandora A/S
OTC:PANDY
Watchlist
Price: 17.35 USD -0.57%
Market Cap: 5.6B USD

Cash Flow Statement

Cash Flow Statement
Pandora A/S

Rotate your device to view
Cash Flow Statement
Currency: DKK
Mar-2010 Jun-2010 Sep-2010 Dec-2010 Mar-2011 Jun-2011 Sep-2011 Dec-2011 Mar-2012 Jun-2012 Sep-2012 Dec-2012 Mar-2013 Jun-2013 Sep-2013 Dec-2013 Mar-2014 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 Sep-2024 Dec-2024 Mar-2025 Jun-2025 Sep-2025
Operating Cash Flow
Net Income
1 518
1 476
2 002
2 252
2 551
2 767
2 474
2 369
2 153
1 525
1 573
1 479
1 608
2 063
2 354
2 742
3 080
3 376
3 527
3 872
3 950
4 288
4 686
5 345
6 042
6 421
6 896
7 650
7 718
7 560
7 510
7 667
7 422
7 382
6 873
6 582
6 133
5 465
4 091
3 829
2 771
1 866
2 748
2 684
3 617
5 144
5 373
5 839
6 246
6 194
6 215
6 743
6 689
6 629
6 571
7 039
7 290
7 439
7 499
7 974
8 108
8 057
7 957
Depreciation & Amortization
210
254
260
265
275
280
245
221
196
172
185
180
178
179
189
200
205
209
214
222
239
263
321
400
448
493
501
518
566
606
648
721
784
853
937
990
1 278
1 575
2 044
2 319
2 335
2 331
2 190
2 315
2 299
2 236
2 096
1 999
1 946
1 975
2 055
1 973
2 009
2 022
2 032
2 079
2 143
2 219
2 283
2 353
2 416
2 461
2 514
Stock-Based Compensation
0
0
0
6
0
0
0
0
0
0
0
20
17
41
52
64
57
57
76
170
0
158
164
127
144
152
135
128
125
125
122
66
81
78
0
0
41
31
37
20
37
57
61
70
94
135
170
166
138
97
76
87
97
113
60
105
49
64
119
166
124
129
147
Other Non-Cash Items
60
19
243
37
243
287
(100)
(261)
(380)
(343)
(180)
(5)
146
70
68
172
125
216
105
63
(158)
(22)
153
112
499
611
486
71
17
(352)
(202)
285
221
(14)
(192)
(123)
(448)
93
127
0
215
(10)
(139)
(85)
(40)
(63)
100
236
260
246
305
69
38
31
3
50
57
(4)
91
122
90
183
131
Cash Taxes Paid
302
328
290
376
344
308
267
429
438
469
516
428
427
457
437
335
371
387
396
761
921
1 553
1 573
2 520
2 478
1 916
1 914
1 462
1 542
1 627
1 620
1 768
2 040
1 873
1 926
1 739
1 555
1 613
1 567
1 233
945
441
459
192
271
721
736
832
1 410
1 535
1 564
1 790
1 453
1 441
1 373
1 832
1 797
1 867
1 910
1 738
2 028
1 908
1 847
Cash Interest Paid
453
348
319
299
125
147
143
99
62
71
58
47
48
25
32
29
34
37
36
30
26
100
91
104
106
38
51
43
45
46
46
44
47
48
58
58
96
129
146
178
174
180
209
247
261
258
227
468
507
558
599
466
482
517
616
683
758
974
951
922
927
1 003
952
Change in Working Capital
(667)
(924)
(1 773)
(1 238)
(1 354)
(1 624)
(877)
(506)
(464)
35
(305)
(315)
(87)
(426)
(248)
(686)
(518)
(452)
(228)
165
348
(880)
(1 628)
(2 473)
(3 202)
(2 755)
(2 795)
(1 708)
(1 938)
(1 548)
(1 613)
(2 067)
(2 515)
(1 671)
(728)
(825)
(221)
(283)
468
627
686
1 363
318
1 061
(272)
(1 209)
(1 352)
(1 846)
(3 019)
(3 640)
(4 143)
(4 351)
(3 333)
(2 580)
(1 968)
(1 784)
(1 776)
(1 941)
(2 056)
(1 728)
(2 370)
(2 695)
(2 818)
Cash from Operating Activities
1 122
N/A
826
-26%
733
-11%
1 316
+80%
1 715
+30%
1 710
0%
1 742
+2%
1 823
+5%
1 505
-17%
1 389
-8%
1 273
-8%
1 339
+5%
1 845
+38%
1 886
+2%
2 363
+25%
2 428
+3%
2 892
+19%
3 349
+16%
3 618
+8%
4 322
+19%
4 379
+1%
3 649
-17%
3 532
-3%
3 384
-4%
3 787
+12%
4 770
+26%
5 088
+7%
6 531
+28%
6 363
-3%
6 266
-2%
6 343
+1%
6 606
+4%
5 912
-11%
6 550
+11%
6 890
+5%
6 624
-4%
6 742
+2%
6 850
+2%
6 730
-2%
6 775
+1%
6 007
-11%
5 550
-8%
5 117
-8%
5 975
+17%
5 604
-6%
6 108
+9%
6 217
+2%
6 228
+0%
5 433
-13%
4 775
-12%
4 432
-7%
4 434
+0%
5 403
+22%
6 102
+13%
6 638
+9%
7 384
+11%
7 714
+4%
7 713
0%
7 817
+1%
8 721
+12%
8 244
-5%
8 006
-3%
7 784
-3%
Investing Cash Flow
Capital Expenditures
(156)
(175)
(165)
(262)
(262)
(259)
(279)
(269)
(252)
(296)
(299)
(276)
(501)
(499)
(508)
(490)
(302)
(305)
(369)
(455)
(564)
(717)
(921)
(1 022)
(1 049)
(1 122)
(1 110)
(1 169)
(1 191)
(1 118)
(1 139)
(1 317)
(1 368)
(1 421)
(1 360)
(1 107)
(1 084)
(962)
(861)
(812)
(686)
(624)
(588)
(504)
(496)
(503)
(529)
(585)
(639)
(797)
(955)
(1 191)
(1 367)
(1 376)
(1 435)
(1 488)
(1 443)
(1 584)
(1 660)
(1 679)
(1 753)
(1 847)
(1 892)
Other Items
(81)
(158)
(90)
(42)
(148)
(69)
(64)
(95)
1
15
23
45
45
39
14
(53)
(65)
(80)
(215)
(177)
(308)
(393)
(233)
(274)
(182)
(265)
(310)
(254)
(507)
(485)
(1 617)
(1 879)
(1 684)
(1 936)
(1 257)
(1 084)
(1 065)
(662)
(165)
(65)
20
31
22
20
19
13
(39)
(46)
(322)
(329)
(540)
(594)
(348)
(434)
(328)
(312)
(386)
(346)
(197)
(210)
(275)
(408)
(409)
Cash from Investing Activities
(236)
N/A
(332)
-41%
(254)
+23%
(304)
-19%
(410)
-35%
(328)
+20%
(343)
-5%
(364)
-6%
(251)
+31%
(281)
-12%
(276)
+2%
(231)
+16%
(456)
-97%
(460)
-1%
(494)
-7%
(543)
-10%
(367)
+32%
(385)
-5%
(584)
-52%
(632)
-8%
(872)
-38%
(1 110)
-27%
(1 154)
-4%
(1 296)
-12%
(1 231)
+5%
(1 387)
-13%
(1 420)
-2%
(1 423)
0%
(1 698)
-19%
(1 603)
+6%
(2 756)
-72%
(3 196)
-16%
(3 052)
+5%
(3 357)
-10%
(2 617)
+22%
(2 191)
+16%
(2 149)
+2%
(1 624)
+24%
(1 026)
+37%
(877)
+15%
(666)
+24%
(593)
+11%
(566)
+5%
(484)
+14%
(477)
+1%
(490)
-3%
(568)
-16%
(631)
-11%
(961)
-52%
(1 126)
-17%
(1 495)
-33%
(1 785)
-19%
(1 715)
+4%
(1 810)
-6%
(1 763)
+3%
(1 800)
-2%
(1 829)
-2%
(1 930)
-6%
(1 857)
+4%
(1 889)
-2%
(2 028)
-7%
(2 255)
-11%
(2 301)
-2%
Financing Cash Flow
Net Issuance of Common Stock
0
0
0
(38)
613
613
613
0
0
0
0
0
(61)
(271)
(491)
(700)
(956)
(1 404)
(2 001)
(2 402)
(2 654)
(2 979)
(3 567)
(3 900)
(4 018)
(4 501)
(4 334)
(4 000)
(3 636)
(2 616)
(2 030)
(1 721)
(1 631)
(2 276)
(2 558)
(3 289)
(3 947)
(3 413)
(3 014)
(2 583)
(2 123)
212
747
1 347
1 778
(252)
(1 094)
(3 325)
(4 564)
(5 031)
(4 984)
(3 527)
(3 737)
(4 469)
(5 027)
(5 022)
(4 561)
(3 989)
(3 785)
(4 013)
(4 036)
(4 044)
(4 460)
Net Issuance of Debt
(831)
(883)
(599)
(424)
(871)
(603)
(750)
(1 839)
(314)
(312)
(307)
(228)
(564)
(550)
(722)
(111)
(381)
(459)
27
(37)
263
1 668
2 372
2 655
3 072
2 562
2 063
404
(103)
7
1 679
2 439
2 876
2 332
1 468
1 222
1 556
364
(639)
(1 600)
(1 728)
(3 419)
(4 364)
(4 051)
(5 144)
(4 078)
(3 618)
(2 680)
1 186
3 240
3 434
1 941
1 073
1 389
2 083
1 499
439
(221)
(802)
(217)
(719)
(255)
465
Cash Paid for Dividends
(113)
(166)
(200)
(200)
(87)
(684)
(650)
(650)
(1 300)
(715)
(715)
(715)
(778)
(713)
(713)
(713)
(820)
(820)
(820)
(820)
(1 088)
(1 088)
(1 088)
(1 088)
(1 507)
(1 507)
(1 507)
(1 507)
(1 007)
(2 010)
(3 008)
(3 995)
(3 974)
(2 971)
(2 930)
(1 943)
(1 853)
(1 853)
(1 756)
(1 756)
(1 686)
(1 686)
(826)
(825)
1
(497)
(992)
(1 479)
(2 993)
(2 495)
(2 000)
(1 514)
(1 412)
(1 412)
(1 412)
(1 412)
(1 471)
(1 471)
(1 471)
(1 471)
(1 567)
(1 567)
(1 567)
Other
1
0
(40)
18
(646)
(646)
(606)
(13)
0
0
0
0
0
0
0
0
0
0
0
0
0
1
0
0
0
0
0
0
0
0
0
0
0
0
0
0
(254)
(256)
(312)
(311)
(57)
(96)
(41)
(42)
(43)
(2)
(1)
0
347
1
0
0
(9)
(1)
0
0
24
(1)
(1)
0
20
1
0
Cash from Financing Activities
(943)
N/A
(1 049)
-11%
(839)
+20%
(644)
+23%
(991)
-54%
(1 320)
-33%
(1 393)
-6%
(2 502)
-80%
(1 614)
+35%
(1 027)
+36%
(1 022)
+0%
(943)
+8%
(1 403)
-49%
(1 534)
-9%
(1 926)
-26%
(1 524)
+21%
(2 157)
-42%
(2 683)
-24%
(2 794)
-4%
(3 259)
-17%
(3 479)
-7%
(2 398)
+31%
(2 283)
+5%
(2 333)
-2%
(2 453)
-5%
(3 447)
-41%
(3 778)
-10%
(5 103)
-35%
(4 746)
+7%
(4 619)
+3%
(3 359)
+27%
(3 277)
+2%
(2 729)
+17%
(2 915)
-7%
(4 020)
-38%
(4 010)
+0%
(4 498)
-12%
(5 158)
-15%
(5 721)
-11%
(6 250)
-9%
(5 594)
+10%
(4 989)
+11%
(4 484)
+10%
(3 571)
+20%
(3 408)
+5%
(4 829)
-42%
(5 705)
-18%
(7 484)
-31%
(6 024)
+20%
(4 285)
+29%
(3 549)
+17%
(3 100)
+13%
(4 085)
-32%
(4 493)
-10%
(4 356)
+3%
(4 935)
-13%
(5 568)
-13%
(5 681)
-2%
(6 059)
-7%
(5 701)
+6%
(6 301)
-11%
(5 864)
+7%
(5 561)
+5%
Change in Cash
Effect of Foreign Exchange Rates
28
54
39
32
(5)
(36)
(16)
(5)
7
14
9
0
3
(11)
(11)
(16)
(17)
(4)
7
14
45
13
(2)
3
(44)
(7)
0
3
24
(13)
(24)
(37)
(54)
(34)
(37)
(29)
1
6
25
19
(29)
(30)
(58)
(62)
(18)
(12)
4
18
31
38
49
4
(31)
(55)
(64)
(61)
(58)
(46)
(56)
(11)
(23)
(56)
(51)
Net Change in Cash
(30)
N/A
(502)
-1 589%
(322)
+36%
400
N/A
309
-23%
26
-92%
(10)
N/A
(1 048)
-10 380%
(353)
+66%
95
N/A
(16)
N/A
165
N/A
(11)
N/A
(119)
-982%
(68)
+43%
345
N/A
351
+2%
277
-21%
247
-11%
445
+80%
73
-84%
154
+111%
93
-40%
(242)
N/A
59
N/A
(71)
N/A
(110)
-55%
8
N/A
(57)
N/A
31
N/A
204
+558%
96
-53%
77
-20%
244
+217%
216
-11%
394
+82%
96
-76%
74
-23%
8
-89%
(333)
N/A
(282)
+15%
(62)
+78%
9
N/A
1 858
+20 544%
1 701
-8%
777
-54%
(52)
N/A
(1 869)
-3 494%
(1 521)
+19%
(598)
+61%
(563)
+6%
(447)
+21%
(428)
+4%
(256)
+40%
455
N/A
588
+29%
259
-56%
56
-78%
(155)
N/A
1 120
N/A
(108)
N/A
(169)
-56%
(129)
+24%
Free Cash Flow
Free Cash Flow
966
N/A
651
-33%
568
-13%
1 054
+86%
1 453
+38%
1 451
0%
1 463
+1%
1 554
+6%
1 253
-19%
1 093
-13%
974
-11%
1 063
+9%
1 344
+26%
1 387
+3%
1 855
+34%
1 938
+4%
2 590
+34%
3 044
+18%
3 249
+7%
3 867
+19%
3 815
-1%
2 932
-23%
2 611
-11%
2 362
-10%
2 738
+16%
3 648
+33%
3 978
+9%
5 362
+35%
5 172
-4%
5 148
0%
5 204
+1%
5 289
+2%
4 544
-14%
5 129
+13%
5 530
+8%
5 517
0%
5 658
+3%
5 888
+4%
5 869
0%
5 963
+2%
5 321
-11%
4 926
-7%
4 529
-8%
5 471
+21%
5 108
-7%
5 605
+10%
5 688
+1%
5 643
-1%
4 794
-15%
3 978
-17%
3 477
-13%
3 243
-7%
4 036
+24%
4 726
+17%
5 203
+10%
5 896
+13%
6 271
+6%
6 129
-2%
6 157
+0%
7 042
+14%
6 491
-8%
6 159
-5%
5 892
-4%