Trelleborg AB
STO:TREL B

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Trelleborg AB
STO:TREL B
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Price: 378 SEK -0.32% Market Closed
Market Cap: 90.2B SEK
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Cash Flow Statement

Cash Flow Statement
Trelleborg AB

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Cash Flow Statement
Currency: SEK
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
Operating Cash Flow
Net Income
2 099
438
413
3 777
3 727
3 906
3 959
3 820
3 938
4 228
4 501
4 825
4 982
4 944
4 984
4 904
4 866
4 990
4 987
Depreciation & Amortization
2 409
1 926
1 866
1 769
1 608
1 457
1 327
1 204
1 223
1 254
1 297
1 399
1 526
1 643
1 769
1 828
1 839
1 859
1 890
Other Non-Cash Items
3 260
3 401
3 450
161
908
1 032
2 617
2 283
569
1 089
394
10 007
316
26 512
25 435
16 115
26 855
(136)
(50)
Cash Taxes Paid
1 031
692
649
787
672
680
821
787
798
992
939
984
974
1 123
1 202
1 266
1 458
1 335
1 285
Cash Interest Paid
496
325
339
363
400
313
273
271
269
291
313
390
601
850
930
848
688
525
518
Change in Working Capital
(2 206)
74
(96)
(345)
(621)
(1 017)
(1 186)
(1 452)
(1 848)
(2 549)
(3 050)
(3 028)
(4 885)
(1 325)
(825)
(1 708)
483
(2 637)
(2 805)
Cash from Operating Activities
5 562
N/A
5 839
+5%
5 633
-4%
5 362
-5%
5 622
+5%
5 378
-4%
6 717
+25%
5 855
-13%
3 882
-34%
4 022
+4%
3 142
-22%
13 203
+320%
1 939
-85%
31 774
+1 539%
31 363
-1%
21 139
-33%
34 043
+61%
4 076
-88%
4 022
-1%
Investing Cash Flow
Capital Expenditures
(2 136)
(1 686)
(1 428)
(1 113)
(963)
(912)
(991)
(1 045)
(1 088)
(1 180)
(1 175)
(1 298)
(1 463)
(1 578)
(1 701)
(1 678)
(1 642)
(1 764)
(1 793)
Other Items
(2 917)
(1 791)
(649)
180
(48)
(106)
(85)
(488)
(235)
(445)
(479)
(11 009)
(11 195)
(11 343)
(11 313)
(282)
(244)
(941)
(4 942)
Cash from Investing Activities
(5 053)
N/A
(3 477)
+31%
(2 077)
+40%
(933)
+55%
(1 011)
-8%
(1 018)
-1%
(1 076)
-6%
(1 533)
-42%
(1 323)
+14%
(1 625)
-23%
(1 654)
-2%
(12 307)
-644%
(12 658)
-3%
(12 921)
-2%
(13 014)
-1%
(1 960)
+85%
(1 886)
+4%
(2 705)
-43%
(6 735)
-149%
Financing Cash Flow
Net Issuance of Common Stock
0
0
0
0
0
0
0
0
(80)
(1 486)
(2 695)
(3 079)
(3 653)
(3 204)
(3 186)
(3 880)
(4 311)
(4 291)
(3 856)
Net Issuance of Debt
2 528
1 951
1 937
(1 159)
(3 585)
(6 493)
(8 398)
(5 403)
(3 821)
(261)
1 525
3 981
14 932
(4 911)
(5 724)
(7 892)
(20 669)
(2 619)
(811)
Cash Paid for Dividends
0
0
0
0
0
(1 355)
(1 355)
(1 355)
(1 355)
(1 481)
(1 481)
(1 481)
(1 481)
(1 524)
(1 524)
(1 524)
0
(1 617)
(1 617)
Other
(127)
(95)
(89)
31
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Cash from Financing Activities
1 113
N/A
1 856
+67%
1 848
0%
(1 128)
N/A
(3 630)
-222%
(7 785)
-114%
(9 834)
-26%
(6 758)
+31%
(5 256)
+22%
(3 228)
+39%
(2 651)
+18%
(579)
+78%
9 798
N/A
(9 639)
N/A
(10 434)
-8%
(13 296)
-27%
(26 504)
-99%
(8 527)
+68%
(6 284)
+26%
Change in Cash
Effect of Foreign Exchange Rates
139
(104)
(209)
(239)
(219)
(84)
(12)
140
88
250
296
111
112
55
(103)
(96)
(33)
(166)
(170)
Net Change in Cash
1 761
N/A
4 114
+134%
5 195
+26%
3 062
-41%
762
-75%
(3 509)
N/A
(4 205)
-20%
(2 296)
+45%
(2 609)
-14%
(581)
+78%
(867)
-49%
428
N/A
(809)
N/A
9 269
N/A
7 812
-16%
5 787
-26%
5 620
-3%
(7 322)
N/A
(9 167)
-25%
Free Cash Flow
Free Cash Flow
3 426
N/A
4 153
+21%
4 205
+1%
4 249
+1%
4 659
+10%
4 466
-4%
5 726
+28%
4 810
-16%
2 794
-42%
2 842
+2%
1 967
-31%
11 905
+505%
476
-96%
30 196
+6 244%
29 662
-2%
19 461
-34%
32 401
+66%
2 312
-93%
2 229
-4%

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