Compagnie de Saint Gobain SA
PAR:SGO

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Compagnie de Saint Gobain SA Logo
Compagnie de Saint Gobain SA
PAR:SGO
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Price: 86.5 EUR -1.12% Market Closed
Market Cap: 43.2B EUR
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Cash Flow Statement

Cash Flow Statement
Compagnie de Saint Gobain SA

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Cash Flow Statement
Currency: EUR
Jun-2006 Dec-2006 Jun-2007 Dec-2007 Jun-2008 Dec-2008 Jun-2009 Dec-2009 Jun-2010 Dec-2010 Jun-2011 Dec-2011 Jun-2012 Dec-2012 Jun-2013 Dec-2013 Jun-2014 Dec-2014 Jun-2015 Dec-2015 Jun-2016 Dec-2016 Jun-2017 Dec-2017 Jun-2018 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
1 429
1 637
1 305
1 487
2 098
1 378
430
202
575
1 129
1 396
1 284
1 022
766
573
595
886
476
365
374
477
1 311
1 469
1 566
2 039
397
(141)
1 406
283
456
2 230
2 614
3 048
3 101
2 822
2 756
2 965
Depreciation & Amortization
2 307
1 717
1 835
1 875
1 648
1 681
1 726
1 857
1 864
1 755
1 811
1 892
1 970
1 988
1 848
1 879
1 639
1 187
1 214
1 208
1 186
1 180
1 197
1 206
1 813
1 904
3 677
1 901
1 926
1 948
2 042
1 986
2 045
2 164
2 192
2 395
2 634
Change in Deffered Taxes
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
214
211
Other Non-Cash Items
(713)
(7)
428
400
46
414
470
173
136
45
10
122
39
(59)
(63)
(30)
145
1 040
1 053
1 086
1 029
254
235
252
(552)
1 314
267
435
866
1 073
539
218
201
301
580
392
41
Cash Taxes Paid
0
0
0
0
0
0
0
0
0
586
0
484
0
0
0
619
816
476
501
591
0
460
486
209
429
538
577
493
411
466
657
793
951
1 001
1 035
0
613
Cash Interest Paid
0
0
0
0
0
0
0
0
0
362
0
668
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Change in Working Capital
(175)
(714)
(689)
(7)
(229)
(94)
445
1 158
601
(156)
(871)
(913)
(82)
(133)
(487)
(272)
(1 397)
(1 334)
(16)
(75)
(63)
(782)
(493)
(258)
(688)
(413)
(359)
64
1 069
1 211
856
(361)
(856)
138
110
237
190
Cash from Operating Activities
2 848
N/A
2 633
-8%
2 879
+9%
3 755
+30%
3 563
-5%
3 379
-5%
3 071
-9%
3 390
+10%
3 176
-6%
2 773
-13%
2 346
-15%
2 385
+2%
2 949
+24%
2 562
-13%
1 871
-27%
2 172
+16%
1 273
-41%
1 369
+8%
2 616
+91%
2 593
-1%
2 629
+1%
1 963
-25%
2 408
+23%
2 766
+15%
2 612
-6%
3 202
+23%
3 444
+8%
3 806
+11%
4 144
+9%
4 688
+13%
5 579
+19%
4 457
-20%
4 438
0%
5 704
+29%
5 704
N/A
5 994
+5%
5 891
-2%
Investing Cash Flow
Capital Expenditures
(2 088)
(2 285)
(2 289)
(2 381)
(2 428)
(2 228)
(1 873)
(1 319)
(1 220)
(1 520)
(1 745)
(2 028)
(2 144)
(1 883)
(1 619)
(1 419)
(1 303)
(1 351)
(1 450)
(1 475)
(1 444)
(1 521)
(1 520)
(1 722)
(1 880)
(1 855)
(1 900)
(1 818)
(1 583)
(1 236)
(1 349)
(1 441)
(1 713)
(1 889)
(1 944)
(1 971)
(1 993)
Other Items
(5 598)
275
498
351
(1 633)
(2 025)
(254)
(228)
13
248
71
(558)
(597)
(229)
27
204
872
620
(289)
1 331
1 508
(172)
(305)
(311)
(1 486)
(1 528)
(293)
245
1 571
1 430
165
(758)
(740)
(2 949)
(3 073)
(1 259)
(1 558)
Cash from Investing Activities
(7 686)
N/A
(2 010)
+74%
(1 791)
+11%
(2 030)
-13%
(4 061)
-100%
(4 253)
-5%
(2 127)
+50%
(1 547)
+27%
(1 207)
+22%
(1 272)
-5%
(1 674)
-32%
(2 586)
-54%
(2 741)
-6%
(2 112)
+23%
(1 592)
+25%
(1 215)
+24%
(431)
+65%
(731)
-70%
(1 739)
-138%
(144)
+92%
64
N/A
(1 693)
N/A
(1 825)
-8%
(2 033)
-11%
(3 366)
-66%
(3 383)
-1%
(2 193)
+35%
(1 573)
+28%
(12)
+99%
194
N/A
(1 184)
N/A
(2 199)
-86%
(2 453)
-12%
(4 838)
-97%
(5 017)
-4%
(3 230)
+36%
(3 551)
-10%
Financing Cash Flow
Net Issuance of Common Stock
66
1 176
1 331
411
367
349
1 919
1 929
518
487
10
(28)
(114)
(35)
616
693
508
275
157
(133)
(702)
(269)
0
(219)
(419)
(339)
(186)
(108)
(235)
(519)
(584)
(655)
(890)
(559)
(217)
(615)
(765)
Net Issuance of Debt
4 852
(1 874)
(1 797)
(1 621)
1 519
2 107
0
(2 093)
(3 447)
(1 862)
(28)
1 078
2 827
1 589
(697)
(680)
(844)
(1 143)
564
40
(2 204)
(920)
103
(159)
1 410
791
1 378
910
(571)
(713)
(3 495)
(2 401)
18
(433)
(190)
1 495
1 654
Cash Paid for Dividends
(459)
(459)
(621)
(621)
(767)
(767)
(486)
(486)
(509)
(509)
(603)
(603)
(646)
(646)
(654)
(654)
(685)
(685)
(695)
(695)
(681)
(680)
(693)
(693)
(706)
(707)
(729)
(729)
0
0
(698)
(697)
(834)
(833)
(1 012)
(1 013)
(1 046)
Other
(36)
(31)
(58)
(40)
(31)
(61)
132
(21)
(79)
(85)
(201)
(42)
(88)
(107)
103
(41)
411
36
58
251
(389)
(42)
(37)
(46)
(64)
(121)
(80)
(14)
(51)
(68)
(53)
(36)
(28)
(25)
(55)
(72)
(149)
Cash from Financing Activities
4 423
N/A
(1 188)
N/A
(1 145)
+4%
(1 871)
-63%
1 088
N/A
1 628
+50%
308
-81%
(671)
N/A
(3 517)
-424%
(1 969)
+44%
(822)
+58%
405
N/A
1 979
+389%
801
-60%
(632)
N/A
(682)
-8%
(610)
+11%
(1 517)
-149%
84
N/A
(537)
N/A
(3 976)
-640%
(1 911)
+52%
(627)
+67%
(1 117)
-78%
221
N/A
(376)
N/A
383
N/A
59
-85%
(857)
N/A
(1 300)
-52%
(4 830)
-272%
(3 789)
+22%
(1 734)
+54%
(1 850)
-7%
(1 474)
+20%
(205)
+86%
(306)
-49%
Change in Cash
Effect of Foreign Exchange Rates
(193)
(47)
6
(28)
(71)
(111)
89
48
(27)
73
(63)
(17)
28
(20)
(58)
(75)
(19)
22
27
(25)
(67)
(1)
(21)
(70)
(61)
(39)
(4)
7
(79)
(126)
(28)
31
80
175
64
(91)
(76)
Net Change in Cash
(608)
N/A
(612)
-1%
(51)
+92%
(174)
-241%
519
N/A
643
+24%
1 341
+109%
1 220
-9%
(1 575)
N/A
(395)
+75%
(213)
+46%
187
N/A
2 215
+1 084%
1 231
-44%
(411)
N/A
200
N/A
213
+7%
(857)
N/A
988
N/A
1 887
+91%
(1 350)
N/A
(1 642)
-22%
(65)
+96%
(454)
-598%
(594)
-31%
(596)
0%
1 630
N/A
2 299
+41%
3 196
+39%
3 456
+8%
(463)
N/A
(1 500)
-224%
331
N/A
(809)
N/A
(723)
+11%
2 468
N/A
1 958
-21%
Free Cash Flow
Free Cash Flow
760
N/A
348
-54%
590
+70%
1 374
+133%
1 135
-17%
1 151
+1%
1 198
+4%
2 071
+73%
1 956
-6%
1 253
-36%
601
-52%
357
-41%
805
+125%
679
-16%
252
-63%
753
+199%
(30)
N/A
18
N/A
1 166
+6 378%
1 118
-4%
1 185
+6%
442
-63%
888
+101%
1 044
+18%
732
-30%
1 347
+84%
1 544
+15%
1 988
+29%
2 561
+29%
3 452
+35%
4 230
+23%
3 016
-29%
2 725
-10%
3 815
+40%
3 760
-1%
4 023
+7%
3 898
-3%

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