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223 EUR
5
2.29%
Last update Apr 2, 7:31 PM CEST
Market closed
Day range
203
223
Previous close
218
Open
205
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Coherent Corp.
223.00
5
2.29%

Financials

Cash flow

Fundamentals currency is USD
Fiscal date 2025 2024 2023 2022
Operating activities 601.0M 473.6M 628.2M 413.7M
Net income 30.1M -135.9M -259.5M 234.8M
Depreciation 553.6M 479.0M 681.7M 286.8M
Deferred taxes -95.4M -95.9M -206.8M -8.2M
StockBased compensation 160.2M 107.9M 148.9M 73.2M
Other non cash items 160.7M 29.3M 139.3M 18.8M
Accounts receivable -170.4M 51.8M 68.3M -55.2M
Accounts payable 217.4M 175.5M -83.3M 97.1M
Other assets liabilities -255.0M -138.0M 139.6M -233.5M
Investing activities -414.2M -300.1M -5.9B -320.1M
Capital expenditures -440.8M -296.8M -436.1M -314.3M
Net intangibles
Net acquisitions 27M 0 -5.5B 0
Purchase of investments
Sale of investments
Other investing activity -379K -3.3M -4.0M -5.8M
Financing activities -501.3M 612.7M 3.5B 783.0M
Long term debt issuance 53.7M 16.2M 3.7B 990M
Long term debt payments -488.6M -212.1M -1.3B -76.9M
Short term debt issuance 0 -62.1M
Common stock issuance 0 0 1.4B 0
Common stock repurchase 0
Common dividends -11.4M 0 -27.6M -34.5M
Other financing charges -54.9M 808.5M -223.8M -33.5M
End cash position 1.6B 1.5B 837.6M 2.6B
Income tax paid 166.8M 83.3M 89.6M 50M
Interest paid 256.7M 267.7M 282.8M 57.3M
Free cash flow 192.8M 170.2M 198.0M 99M
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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