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69.5 EUR
0.9
1.31%
Last update Jun 10, 5:30 PM CEST
Market closed
Day range
68
69.5
Previous close
68.60000
Open
69.099998
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Thermador Groupe SA
69.50
0.90
1.31%

Financials

Cash flow

Fiscal date 2025 2024 2023 2022
Operating activities 44.4M 78.1M 65.3M 98.5M
Net income 44.1M 44.7M 58.3M 58.9M
Depreciation
Deferred taxes
StockBased compensation 40K 137K
Other non cash items 354K 180K 194K 56K
Accounts receivable 19.5M 5.6M 17.5M
Accounts payable
Other assets liabilities 13.7M 1.2M 21.9M
Investing activities -22.4M -18.9M -8.4M -34.7M
Capital expenditures -5.5M -9.2M -8.4M -6.9M
Net intangibles
Net acquisitions -17.3M -4.9M
Purchase of investments
Sale of investments 431K 1K 24K 65K
Other investing activity -4.9M -27.9M
Financing activities -6.9M -29.1M -27.8M -577K
Long term debt issuance 20M 0 0 31M
Long term debt payments -7.8M -7.6M -8.7M -13.2M
Short term debt issuance
Common stock issuance
Common stock repurchase 0 -2.3M 0 0
Common dividends -19.1M -19.1M -19.1M -18.4M
Other financing charges
End cash position 96.9M 60.3M 31.6M 13.3M
Income tax paid
Interest paid
Free cash flow 63.6M 64.8M 48.1M 14.1M
Access the full /cash_flow historical dataset via the API — starting from the Pro plan (individual) and the Venture plan (business) and above.
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