Suedzucker AG 0G7B

Cash Flow
20192020202120222023
Cash Flows From Operating Activities
Net Income-----
Depreciation and amortization-----
Deferred income taxes-----
Accounts receivable-----
Inventory243.40-207.30-42.30-381.30-1,200.50
Account payable-----
Other working capital-280.70-27.8047.70319.00520.80
Other non-cash items299.40390.30475.10539.80923.20
Net cash provided by operating activities262.10155.20480.50477.50243.50
Cash Flows From Investing Activities
Investment in property, plant and equipment---285.00-331.70-399.60
Acquisitions Net-----
Purchases of investments-15.30-27.60-14.60-3.60-143.90
Sales/Maturities of investments1.4080.2077.3095.000.00
Purchases of intangibles-----
Other investing activities-367.50-328.7020.2032.7020.60
Net cash used for investing activities-381.40-276.10-202.10-207.60-522.90
Cash Flows From Financing Activities
Common stock issued-----
Dividends-160.70-101.90-97.20-101.00-144.00
Other financing activities54.90271.80-174.50-49.70352.90
Net cash provided by (used for) financing activities-105.80169.90-271.70-150.70208.90
Net Change in Cash-225.1049.006.70119.20-70.50
Cash at beginning of period585.20147.70197.40197.50315.60
Cash at end of period354.10197.40197.50315.60247.30
Free cash in flow
Operating Cash Flow262.10155.20480.50477.50243.50
Capital Expenditure-378.70-335.30-285.00-331.70-399.60
Free Cash Flow-116.60-180.10195.50145.80-156.10

Figures in millions. Currency is EUR.

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