artnet AG

FSX:ART.DE

5.55 (EUR) • At close September 18, 2024
Overview | Financials

Numbers are in millions (except for per share data and ratios) EUR.

2023202220212020201920182017201620152014201320122011201020092008200720062005200420032002
Operating Activities:
Net Income -1.0040.121-0.7961.924-0.0011.0440.6950.6330.639-3.0470.04-2.4270.0310.153-0.467-0.49001.151-0.518-0.664-0.679
Depreciation & Amortization 1.7051.4941.3791.3611.3410.4930.410.3590.4790.9450.441.1740.5840.8330.6930.3840.2140.1550.11600.2620.589
Deferred Income Tax -0.876-0.0780.034-0.141-0.025-0.183-0.2810.2170.271-0.1210.210.1780000000000
Stock Based Compensation 00000000.0180.0710.0550.0090.1390000000000
Change In Working Capital 0.8460.906-0.251-0.655-0.266-1.004-0.105-0.339-1.3011.6790.2560.546-0.175-0.57-0.7740.22900-0.092000
Accounts Receivables -0.063-0.302-1.1780.166-0.827-0.958-0.094-0.455-0.620.0220.056-0.180000000000
Inventory 0-1.470.034-0.141-0.02500000000000000000
Accounts Payables -0.0211.470.174-0.2490.5010.0470.0530.061-0.380000000000000
Other Working Capital 0.931.2080.719-0.4310.0850.090.2170.055-0.3010.8170.20200000000000
Other Non Cash Items 3.7130.1410.2270.0850.5510.5720.0070.0420.0520.439-0.13-0.068-0.0390.2350.3680.3142.181.8110.0730.5180.3560.279
Operating Cash Flow 0.892.6620.5592.7141.6261.1061.0080.930.211-0.0520.827-0.4570.4020.651-0.180.4372.3941.9671.2490-0.0460.189
Investing Activities:
Investments In Property Plant And Equipment -1.683-1.937-0.703-0.875-1.262-1.379-0.864-0.483-0.03-0.161-0.304-0.675-0.855-0.172-0.47-1.17700-0.22-0-0.052-0.047
Acquisitions Net 0000000.012000000000000000
Purchases Of Investments 0000000000000000000000
Sales Maturities Of Investments 0000000.012000000000000000
Other Investing Activites 0.025-0-0.7-0.8630-1.256-0.796-0.45-0.007-0.134-0.292-0.336000-0.03-0.932-0.25-0.037-0-0.068-0.091
Investing Cash Flow -1.658-1.937-0.703-0.875-1.262-1.379-0.852-0.483-0.03-0.161-0.304-0.675-0.855-0.172-0.47-1.207-0.932-0.25-0.257-0-0.12-0.138
Financing Activities:
Debt Repayment -0.189-0.713-0.845-0.383-0.178-0.022-0.048-0.244-0.225-0.228-0.50000000-0.252-000
Common Stock Issued 0.67000.178000000000000000000
Common Stock Repurchased 0000000000000000000000
Dividends Paid 0000000000000000000000
Other Financing Activities 0.670.391-0.898-0.403-0.624-0.022-0.048-0.112-0.248-0.2280.751-0.221-0.172-0.132-0.0680-0.026-0.113-0.07300.1520.123
Financing Cash Flow 0.289-0.322-0.898-0.608-0.802-0.022-0.048-0.355-0.473-0.2280.251-0.221-0.172-0.132-0.0680-0.026-0.113-0.325-00.1520.123
Other Information:
Effect Of Forex Changes On Cash -0.040.0560.165-0.2420.0840.024-0.057-0.030.1040.0930.002-0.0070.0410.16-0.0160.067-0.242-0.1620.037-0-0.052-0.012
Net Change In Cash -0.5190.46-0.8760.989-0.355-0.2710.0510.062-0.188-0.3480.776-1.36-0.5850.507-0.734-0.7031.1941.4410.7040-0.0670.161
Cash At End Of Period 0.5341.0530.5931.4690.480.8351.1061.0550.9941.1811.5290.7532.1122.6982.1912.9253.6282.4340.99200.2580.325