Raute Oyj (HEL:RAUTE)
Finland flag Finland · Delayed Price · Currency is EUR
17.25
+0.15 (0.88%)
May 13, 2025, 6:24 PM EET

Raute Oyj Cash Flow Statement

Millions EUR. Fiscal year is Jan - Dec.
Fiscal Year
TTM FY 2024 FY 2023 FY 2022 FY 2021 FY 2020 2015 - 2019
Period Ending
Mar '25 Dec '24 Dec '23 Dec '22 Dec '21 Dec '20 2015 - 2019
Net Income
15.0912.111.35-11.51-1.78-1.82
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Depreciation & Amortization
4.874.874.594.554.344.04
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Other Amortization
0.290.290.290.41--
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Other Operating Activities
3.39-3.232.4-6.8121.44-1.09
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Operating Cash Flow
23.6414.0738.63-13.37241.13
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Operating Cash Flow Growth
1.48%-63.57%--2029.81%-93.94%
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Capital Expenditures
-3.03-2.8-4.49-6.57-6.3-3.6
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Sale of Property, Plant & Equipment
0.390.390.060.06-0.19
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Cash Acquisitions
------0.51
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Other Investing Activities
-----0
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Investing Cash Flow
-2.65-2.41-4.43-6.52-6.3-3.92
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Short-Term Debt Issued
---6.73-1.86
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Total Debt Issued
---6.73-1.86
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Short-Term Debt Repaid
---6.73-2.07--1.5
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Long-Term Debt Repaid
--1.29-1.28-1.79-1.75-1.41
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Total Debt Repaid
-1.37-1.29-8.01-3.86-1.75-2.91
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Net Debt Issued (Repaid)
-1.37-1.29-8.012.87-1.75-1.06
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Issuance of Common Stock
--16.94---
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Repurchase of Common Stock
-0.46-0.04-0.95---
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Common Dividends Paid
-0.6-0.6---3.41-6.18
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Other Financing Activities
-0.26-0.35-1.63---
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Financing Cash Flow
-2.69-2.296.352.87-5.16-7.24
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Foreign Exchange Rate Adjustments
-00.03-0.070.270.21-0.73
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Miscellaneous Cash Flow Adjustments
-0-0----0
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Net Cash Flow
18.39.440.49-16.7412.76-10.76
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Free Cash Flow
20.6111.2734.14-19.9417.71-2.48
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Free Cash Flow Growth
5.78%-66.98%----
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Free Cash Flow Margin
9.73%5.51%23.48%-12.59%12.45%-2.15%
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Free Cash Flow Per Share
3.221.786.10-4.434.15-0.58
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Cash Interest Paid
0.14--0.060.150.1
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Cash Income Tax Paid
0.870.96-0.540.330.43-0.43
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Levered Free Cash Flow
13.245.733.69-14.9517.78-0.19
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Unlevered Free Cash Flow
13.385.7233.73-14.9217.9-0.12
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Change in Net Working Capital
0.695.82-31.684.33-21.23-1.03
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Updated Mar 18, 2025. Source: S&P Global Market Intelligence. Standard template. Financial Sources.