RAUTE — Raute Oyj Cashflow Statement
0.000.00%
- €85.64m
- €47.66m
- €175.54m
Annual cashflow statement for Raute Oyj, fiscal year end - December 31st, EUR millions except per share, conversion factor applied.
2021 December 31st | 2022 December 31st | 2023 December 31st | 2024 December 31st | 2025 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 | 0.486 | 1.05 | 0.685 | 1.03 | 0.317 |
| Other Operating Cash Flow | |||||
| Cash from Operating Activities | 24 | -13.4 | 38.6 | 14.1 | -6.38 |
| Capital Expenditures | -6.3 | -6.57 | -4.49 | -2.8 | -4.47 |
| Purchase of Fixed Assets | |||||
| Other Investing Cash Flow Items | 0 | 0.057 | 0.06 | 0.386 | 0.212 |
| Acquisition of Business | |||||
| Sale of Fixed Assets | |||||
| Cash from Investing Activities | -6.3 | -6.51 | -4.43 | -2.41 | -4.26 |
| Financing Cash Flow Items | — | — | -1.63 | -0.35 | -0.298 |
| Other Financing Cash Flow | |||||
| Total Cash Dividends Paid | |||||
| Net Issuance / Retirement of Stock | |||||
| Net Issuance / Retirement of Debt | |||||
| Cash from Financing Activities | -5.16 | 2.87 | 6.35 | -2.29 | -6.42 |
| Foreign Exchange Effects | |||||
| Beginning Cash Balance | |||||
| Ending Cash Balance | |||||
| Net Change in Cash | 12.8 | -16.7 | 40.5 | 9.4 | -17.2 |