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TeamViewer SE
XBER:TMV

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TeamViewer SE
XBER:TMV
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Price: 13.45 EUR 1.66% Market Closed
Market Cap: 2.2B EUR
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Cash Flow Statement

Cash Flow Statement
TeamViewer SE

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Cash Flow Statement
Currency: EUR
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
27
44
47
95
77
119
160
170
159
140
97
85
98
88
106
117
130
145
157
147
145
149
Depreciation & Amortization
10
47
6
36
6
22
8
41
43
46
49
51
52
53
53
54
54
55
55
55
56
56
Other Non-Cash Items
125
122
127
95
118
86
45
39
60
74
101
97
77
91
91
124
132
113
91
82
75
66
Cash Taxes Paid
7
11
15
18
20
25
28
33
38
45
49
44
41
36
38
46
44
42
43
46
50
54
Cash Interest Paid
64
52
40
46
46
33
44
28
19
21
14
14
15
15
15
14
15
13
14
14
15
17
Change in Working Capital
(51)
(83)
(88)
(82)
(63)
(47)
(23)
(26)
(58)
(71)
(66)
(40)
(38)
(49)
(50)
(89)
(80)
(61)
(55)
(55)
(55)
(34)
Cash from Operating Activities
140
N/A
116
-17%
121
+4%
144
+20%
170
+18%
197
+16%
221
+12%
224
+2%
204
-9%
190
-7%
181
-5%
193
+7%
189
-2%
183
-3%
200
+9%
206
+3%
235
+15%
252
+7%
247
-2%
230
-7%
220
-4%
237
+8%
Investing Cash Flow
Capital Expenditures
(15)
(14)
(11)
(17)
(18)
(24)
(31)
(26)
(25)
(19)
(15)
(15)
(13)
(11)
(10)
(9)
(9)
(8)
(7)
(6)
(6)
(6)
Other Items
1
1
0
(4)
(5)
(4)
(88)
(84)
(103)
(108)
(23)
(24)
(7)
(2)
(2)
(2)
(8)
(10)
(10)
(24)
(16)
(18)
Cash from Investing Activities
(15)
N/A
(14)
+5%
(11)
+19%
(21)
-87%
(23)
-9%
(28)
-24%
(120)
-325%
(110)
+8%
(128)
-16%
(127)
+1%
(39)
+69%
(39)
0%
(19)
+51%
(13)
+33%
(12)
+4%
(11)
+12%
(16)
-52%
(18)
-9%
(17)
+7%
(30)
-77%
(23)
+24%
(24)
-6%
Financing Cash Flow
Net Issuance of Common Stock
0
0
0
0
0
0
0
0
0
0
0
0
(149)
(231)
(300)
(300)
(177)
(146)
(115)
(162)
(204)
(179)
Net Issuance of Debt
(8)
(58)
(111)
(90)
(89)
(37)
(23)
(68)
279
278
317
315
(32)
(33)
(320)
(296)
(395)
(394)
(108)
(111)
(21)
(44)
Other
(64)
(52)
(40)
(46)
(46)
(33)
(44)
(28)
(19)
(21)
(14)
(14)
(15)
(15)
(15)
(14)
(15)
(13)
(14)
(14)
(15)
(17)
Cash from Financing Activities
(71)
N/A
(110)
-54%
(151)
-37%
(136)
+10%
(135)
+1%
(70)
+48%
(67)
+4%
(96)
-42%
261
N/A
257
-2%
303
+18%
301
-1%
(196)
N/A
(279)
-42%
(635)
-128%
(610)
+4%
(587)
+4%
(554)
+6%
(238)
+57%
(287)
-21%
(240)
+16%
(239)
+0%
Change in Cash
Effect of Foreign Exchange Rates
1
1
0
0
0
(1)
(5)
(6)
(5)
(4)
5
12
13
27
33
26
22
8
(2)
(1)
(1)
(1)
Net Change in Cash
55
N/A
(7)
N/A
(41)
-493%
(13)
+70%
13
N/A
98
+670%
29
-70%
12
-58%
332
+2 578%
316
-5%
450
+42%
467
+4%
(13)
N/A
(82)
-529%
(414)
-403%
(390)
+6%
(346)
+11%
(312)
+10%
(9)
+97%
(88)
-871%
(43)
+51%
(26)
+39%
Free Cash Flow
Free Cash Flow
125
N/A
102
-18%
109
+7%
128
+17%
152
+19%
173
+14%
189
+10%
198
+5%
179
-10%
171
-5%
165
-3%
178
+8%
176
-1%
172
-2%
190
+10%
197
+3%
227
+15%
244
+8%
241
-1%
224
-7%
214
-5%
232
+8%

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