Morningstar® Stock Report™

International Consolidated Airlines Group SA IAG

Zeitraum
Zeige Berichtsdaten
Ansicht
Common size as percentageCommon size as fraction
Runden
TausendMilliarden
Cash Flow
20192020202120222023
Geschäftsjahresende31.12.201931.12.202031.12.202131.12.202231.12.2023
Operativer Cash-Flow4.121,00-3.477,00-204,004.988,005.155,00
Besteuerung-119,0045,0063,00-134,00-291,00
Investitionstätigkeiten-2.658,001.562,00-181,00-3.463,00-3.423,00
Netto Zu-/Abflüsse1.344,00-1.870,00-322,001.391,001.441,00
Finanzierung-1.259,003.810,002.235,00-56,00-5.194,00
Veränderung Netto-Cash85,001.940,001.913,001.335,00-3.753,00
Wechselkursanpassungen140,00-228,00205,00-31,00-2,00
Eröffnungsbilanz3.837,004.062,005.774,007.892,009.196,00
Schlussbilanz4.062,005.774,007.892,009.196,005.441,00
Investitionsquote
Cash Flow / Aktie1,28-0,97-0,030,910,92
Investition/Aktie-1,10-0,55-0,15-0,73-0,67

EUR in Millionen ausser bei Angaben je Aktie.