CeWe Stiftung & Co. KGaA
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Financials

Cash flow

Fiscal date Jun 2022 Jun 2021 Jun 2020 Dec 2019
Operating activities 3.8M -2.6M 20.9M 93.4M
Net income 9.0M 6.5M 12.9M 76.2M
Depreciation
Deferred taxes
StockBased compensation
Other non cash items
Accounts receivable
Accounts payable
Other assets liabilities -5.1M -9.1M 8.1M 17.2M
Investing activities -10.2M -4.7M -13.5M -664K
Capital expenditures -4.5M -5.9M -11.8M 141K
Net intangibles
Net acquisitions -6.2M 0 -1.5M -805K
Purchase of investments -180K
Sale of investments 491K 1.2M
Other investing activity
Financing activities 10.1M -14.1M 743K -11.1M
Long term debt issuance
Long term debt payments
Short term debt issuance
Common stock issuance 97K -1.9M 607K
Common stock repurchase 0 0 -192K
Common dividends -16.6M -16.6M -10K
Other financing charges 26.6M 4.4M 328K -11.1M
End cash position 23.9M 17.3M 24.2M 32.4M
Income tax paid
Interest paid
Free cash flow -9.2M -33.7M 4.3M 82.3M
Access the full /cash_flow historical dataset via the API — starting from the Pro plan.
Main market

Exchange is currently active.
Closing in 3 hours 52 minutes

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Trading Hours (Monday - Friday):

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Main market
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