MAR — Martifer SGPS SA Cashflow Statement
0.000.00%
- €208.28m
- €213.23m
- €264.52m
- 89
- 78
- 72
- 96
Annual cashflow statement for Martifer SGPS SA, fiscal year end - December 31st, EUR millions except per share, conversion factor applied.
2020 December 31st | 2021 December 31st | 2022 December 31st | 2023 December 31st | 2024 December 31st | |
---|---|---|---|---|---|
Period Length: | 12 M | 12 M | 12 M | 12 M | 12 M |
Source: | ARS | ARS | ARS | ARS | ARS |
Standards: | IFRS | IFRS | IFRS | IFRS | IFRS |
Status: | Final | Final | Final | Final | Final |
Changes in Working Capital | -17.1 | -23.4 | -28.4 | -45.6 | -47.4 |
Other Operating Cash Flow | |||||
Cash from Operating Activities | 11 | 6.24 | 11.9 | 48.5 | 36.9 |
Capital Expenditures | -1.75 | -1.8 | -1.16 | -1.65 | -6.36 |
Purchase of Fixed Assets | |||||
Other Investing Cash Flow Items | 8.16 | 6.93 | 23.3 | -3.91 | 10.6 |
Sale of Fixed Assets | |||||
Change in Net Investments | |||||
Change in Net Intangibles | |||||
Other Investing Cash Flow | |||||
Cash from Investing Activities | 6.4 | 5.13 | 22.2 | -5.56 | 4.29 |
Financing Cash Flow Items | -3.1 | -3.27 | -3.28 | -6.96 | -8.57 |
Other Financing Cash Flow | |||||
Total Cash Dividends Paid | |||||
Net Issuance / Retirement of Debt | |||||
Cash from Financing Activities | -7.27 | -14.5 | -19.3 | -16 | -16.1 |
Foreign Exchange Effects | |||||
Beginning Cash Balance | |||||
Ending Cash Balance | |||||
Net Change in Cash | 8.79 | -2.79 | 15.3 | 26.6 | 25.3 |