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95.58000 EUR
0.16
0.17%
Last update Oct 6, 8:31 AM CEST
Market closed
Day range
95.58000
95.58000
Previous close
95.74000
Open
95.58000
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Pentair plc
95.58
0.16
0.17%

Financials

Cash flow

Fiscal date 2024 2023 2022 2021
Operating activities 639.6M 607M 355.2M 611.8M
Net income 532.7M 622.9M 483.2M 556M
Depreciation 97.6M 114.8M 106.6M 77.5M
Deferred taxes -9.7M -92.5M -44.8M -9M
StockBased compensation 33.8M 29.1M 24.9M 29.8M
Other non cash items -10.2M -8.7M 200K -9.4M
Accounts receivable -9.5M -24.4M 30.4M -142M
Accounts payable -3.2M -75.1M -56.9M 114.2M
Other assets liabilities 8.1M 40.9M -188.4M -5.3M
Investing activities -91.5M 9.1M -1.5B -330.5M
Capital expenditures 510.9K 5.6M 4.1M 3.9M
Net intangibles
Net acquisitions -92.0M -600K -1.6B -337.1M
Purchase of investments
Sale of investments 78.9M 0
Other investing activity 4.1M 300K 2.7M
Financing activities -542.2M -468.1M 1.2B -222.2M
Long term debt issuance 16.0M 0 1.5B 159.4M
Long term debt payments -308.7M -332.5M -88.3M -103.8M
Short term debt issuance
Common stock issuance 15.7M 9.6M 22.2M
Common stock repurchase -127.7M 0 -52.7M -150M
Common dividends -129.7M -145.2M -138.6M -133M
Other financing charges -7.7M -3.5M -17M
End cash position 101.1M 170.3M 108.9M 94.5M
Income tax paid 103.0M 120M 122.6M 71.8M
Interest paid 124.0M 146.4M 57M 29.9M
Free cash flow 589.5M 543.2M 278.1M 553M
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