EXO Cash Flow Statement - Exor NV - Alpha Spread
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Cash Flow Statement

Cash Flow Statement
Exor NV

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Cash Flow Statement
Currency: EUR
Dec-2005 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
Operating Cash Flow
Net Income
1 273
859
400
510
665
596
428
(133)
(997)
(605)
563
2 057
2 242
1 605
2 377
3 882
4 427
2 305
1 223
1 534
865
1 401
2 313
3 687
4 427
4 543
5 114
5 347
4 985
(1 925)
1
5 993
3 350
3 515
4 836
6 153
6 777
Depreciation & Amortization
382
382
212
165
110
136
117
148
2 767
4 114
2 937
3 165
4 118
4 927
4 952
5 131
5 485
5 628
5 823
6 382
7 160
7 266
7 826
8 284
7 084
6 694
7 003
7 017
7 119
7 022
6 871
4 261
1 728
1 785
1 853
1 918
2 050
Change in Deffered Taxes
46
42
52
57
43
24
28
12
(184)
(317)
(169)
(24)
95
84
22
(66)
(1 628)
(1 583)
(99)
140
(118)
(127)
692
965
1 074
728
642
859
1 028
1 175
557
94
(205)
(295)
(106)
(239)
(478)
Other Non-Cash Items
(1 042)
(632)
(167)
(151)
16
64
(84)
(63)
558
675
661
(648)
(834)
795
494
(1 783)
(426)
2 369
1 719
1 193
3 668
4 385
1 389
(402)
1 449
2 295
527
(1 308)
(3 068)
(1 810)
1 422
(23 514)
(62)
24 398
(1 063)
1 573
(1 980)
Cash Taxes Paid
24
40
20
29
32
7
16
18
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
Change in Working Capital
(225)
(151)
(343)
(541)
(498)
(452)
(328)
56
2 584
3 706
2 267
2 249
1 810
49
322
1 187
1 721
789
447
643
174
(91)
399
93
(644)
(63)
(1 089)
(532)
2 376
(3 363)
5 200
11 104
(1 218)
(3 121)
(602)
(3 446)
(123)
Cash from Operating Activities
434
N/A
500
+15%
154
-69%
40
-74%
336
+740%
368
+10%
161
-56%
20
-88%
4 728
+23 540%
7 573
+60%
6 259
-17%
6 799
+9%
7 431
+9%
7 460
+0%
8 167
+9%
8 351
+2%
9 579
+15%
9 508
-1%
9 113
-4%
9 892
+9%
11 749
+19%
12 834
+9%
12 619
-2%
12 627
+0%
13 390
+6%
14 197
+6%
12 197
-14%
11 383
-7%
12 440
+9%
1 099
-91%
14 051
+1 179%
(2 062)
N/A
3 593
N/A
26 282
+631%
4 918
-81%
5 959
+21%
6 246
+5%
Investing Cash Flow
Capital Expenditures
(175)
(183)
(195)
(195)
(87)
(44)
(90)
(94)
(3 507)
(5 025)
(3 843)
(4 214)
(6 666)
(8 553)
(8 967)
(9 230)
(9 111)
(8 790)
(9 492)
(10 457)
(10 310)
(9 959)
(10 082)
(10 711)
(9 531)
(7 588)
(7 165)
(8 107)
(10 290)
(10 886)
(10 253)
(6 334)
(1 960)
(2 104)
(2 448)
(2 662)
(2 810)
Other Items
305
837
559
(304)
(204)
(130)
322
306
664
97
(261)
4 597
3 714
(1 371)
(1 603)
(227)
(899)
(2 535)
(922)
812
1 702
(1 648)
(2 658)
383
(1 240)
(3 136)
(3 019)
4 173
6 842
2 450
151
(3 019)
(27 630)
(27 579)
(1 651)
(2 641)
(8 136)
Cash from Investing Activities
130
N/A
654
+403%
364
-44%
(499)
N/A
(291)
+42%
(174)
+40%
232
N/A
212
-9%
(2 843)
N/A
(4 928)
-73%
(4 104)
+17%
383
N/A
(2 952)
N/A
(9 924)
-236%
(10 570)
-7%
(9 457)
+11%
(10 010)
-6%
(11 325)
-13%
(10 414)
+8%
(9 645)
+7%
(8 608)
+11%
(11 607)
-35%
(12 740)
-10%
(10 328)
+19%
(10 771)
-4%
(10 724)
+0%
(10 184)
+5%
(3 934)
+61%
(3 448)
+12%
(8 436)
-145%
(10 102)
-20%
(9 353)
+7%
(29 590)
-216%
(29 683)
0%
(4 099)
+86%
(5 303)
-29%
(10 946)
-106%
Financing Cash Flow
Net Issuance of Common Stock
0
0
0
0
0
0
0
(18)
(26)
(21)
(57)
(47)
(28)
45
73
(100)
(98)
13
(257)
(240)
1 399
1 375
(133)
(124)
25
26
(276)
(655)
(522)
(136)
4
(6)
12
(95)
(254)
(397)
(992)
Net Issuance of Debt
(275)
(592)
(495)
261
911
576
(175)
(171)
6 238
6 372
1 261
3 261
2 977
2 861
2 731
2 526
5 439
5 926
4 102
(1 623)
(3 287)
(2 162)
(5 130)
(8 483)
(5 453)
(1 375)
(2 381)
(1 651)
(2 614)
8 185
11 101
(411)
(1 351)
1 902
3 740
3 550
4 938
Cash Paid for Dividends
0
0
0
0
0
0
0
(82)
(82)
(68)
(68)
(76)
(76)
(80)
(80)
(78)
(78)
(74)
(72)
(76)
(78)
(82)
(82)
(82)
(291)
(535)
(281)
(2 555)
(2 615)
(262)
(268)
(343)
(455)
(681)
(601)
(742)
(716)
Other
(177)
(296)
(231)
80
(285)
(458)
(160)
(84)
(34)
(193)
(324)
(301)
(672)
(770)
(506)
(473)
(353)
(3 041)
(863)
1 903
(445)
(568)
(219)
(215)
(225)
(197)
(92)
445
316
(148)
(211)
(341)
(394)
(385)
(753)
(918)
(1 123)
Cash from Financing Activities
(452)
N/A
(888)
-96%
(726)
+18%
341
N/A
626
+84%
118
-81%
(335)
N/A
(355)
-6%
6 096
N/A
6 090
0%
812
-87%
2 837
+249%
2 201
-22%
2 056
-7%
2 218
+8%
1 875
-15%
4 910
+162%
2 824
-42%
2 910
+3%
(36)
N/A
(2 411)
-6 597%
(1 437)
+40%
(5 564)
-287%
(8 904)
-60%
(5 944)
+33%
(2 081)
+65%
(3 030)
-46%
(4 416)
-46%
(5 435)
-23%
7 639
N/A
10 626
+39%
(1 101)
N/A
(2 188)
-99%
741
N/A
2 132
+188%
1 493
-30%
2 107
+41%
Change in Cash
Effect of Foreign Exchange Rates
17
(17)
(9)
(3)
(7)
(9)
(4)
3
218
739
365
(470)
626
1 129
(496)
(875)
(1 132)
(791)
1 465
2 191
614
(486)
259
(696)
(1 809)
(628)
125
234
242
(248)
(1 949)
(1 239)
502
437
137
(310)
(306)
Net Change in Cash
129
N/A
249
+93%
(217)
N/A
(121)
+44%
664
N/A
303
-54%
54
-82%
(120)
N/A
8 199
N/A
9 474
+16%
3 332
-65%
9 549
+187%
7 306
-23%
721
-90%
(681)
N/A
(106)
+84%
3 347
N/A
216
-94%
3 074
+1 323%
2 402
-22%
1 344
-44%
(696)
N/A
(5 426)
-680%
(7 301)
-35%
(5 134)
+30%
764
N/A
(892)
N/A
3 267
N/A
3 799
+16%
54
-99%
12 626
+23 281%
(13 755)
N/A
(27 683)
-101%
(2 223)
+92%
3 088
N/A
1 839
-40%
(2 899)
N/A
Free Cash Flow
Free Cash Flow
259
N/A
317
+22%
(41)
N/A
(155)
-278%
249
N/A
324
+30%
71
-78%
(74)
N/A
1 221
N/A
2 548
+109%
2 416
-5%
2 585
+7%
765
-70%
(1 093)
N/A
(800)
+27%
(879)
-10%
468
N/A
718
+53%
(379)
N/A
(565)
-49%
1 439
N/A
2 875
+100%
2 537
-12%
1 916
-24%
3 859
+101%
6 609
+71%
5 032
-24%
3 276
-35%
2 150
-34%
(9 787)
N/A
3 798
N/A
(8 396)
N/A
1 633
N/A
24 178
+1 381%
2 470
-90%
3 297
+33%
3 436
+4%

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