Chargeurs SA

EPA:CRI.PA

11.2 (EUR) • At close September 20, 2024
Overview | Financials

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004
Operating Activities:
Net Income 1.219.430.646.320.431.63031.918.715.111.3-3.213.311.4-33.5-56.915.118.5-66.527.3
Depreciation & Amortization 25.828.928.628.721.111.710.29.99.78.98.610.69.7100001200
Deferred Income Tax 00000000000000000000
Stock Based Compensation 00000000000000000000
Change In Working Capital -17-40.521.92.6-13.3-22.5-6.70.888.64.623.1-30-6.921.7-25.5-29.79.72.3-2.9
Accounts Receivables -5.4-0.4-8.6-5-5.9-7.6-8.7-1.80.500000000000
Inventory 22.3-7.8-6.9-18.71.8128.4-6.8-3.4-1.500000000000
Accounts Payables -26.1-19.539.81.4-12.38.46.63.9000000000000
Other Working Capital -7.8-12.8-2.424.93.1-151.72.22.198.64.6000000000
Other Non Cash Items -25.2-15.2-16.2-4.6-2.7-6.4-2.8-11.5-4-3.3-6.4-3.4-3.8-3.51960.87.9-4.252.38.3
Operating Cash Flow -15.2-7.464.97325.514.430.731.132.429.318.127.1-10.817.2-21.6-6.736-11.932.7
Investing Activities:
Investments In Property Plant And Equipment -18.7-10.8-13-14.9-25.3-24.3-13.6-10.9-14.1-10-7-5.4-6.5-7.2-4.6-9.7-15-48.4-18.2-19.5
Acquisitions Net -1.6-5.1-20.4-53-9.6-65-5.5-20.6-0.700000-0.11.7-32.300
Purchases Of Investments -8.2-7.2-17.3-14.200000000-0.6-2.2-1.700000
Sales Maturities Of Investments 9.87.217.314.20000000001000000
Other Investing Activites -10.3-7.216.5-90.2-11.20.21.90.110.2-0.22.12.23.210.89.347.36.16.5
Investing Cash Flow -29-23.1-16.9-76.9-34.7-90.3-17.9-31.3-12.9-9.93.2-5.6-4.4-7.2-1.52.8-5.71.2-12.1-13
Financing Activities:
Debt Repayment -87.9-37.3-34.3-100.5-10.3-42.7-8.5-10.8-20.9-25.5-37.5-49-0.5-2.8-6.4-26.5-16.9-32-112.3-25.5
Common Stock Issued 92.13.900.19.807.2011.931.80.80.55.10.101.63.11.426.5
Common Stock Repurchased -4.2-3.90-0.1-9.8-10.20019.2000000-0.922061.2-90.3
Dividends Paid -8.6-17.9-17.7-5.9-8.6-10.8-6.6-11.5-3.2000000-6.7-7.30-12.1-14.6
Other Financing Activities 36.7-11.611228.513.538.356.986.2-2.227.212.67.8-0.5270.8-0.20.330.40.33.5
Financing Cash Flow 28.1-66.8-41122.1-5.4-25.441.863.94.84.7-23.1-40.40.529.3-5.5-33.4-0.31.5-61.5-100.4
Other Information:
Effect Of Forex Changes On Cash 2.7-0.23.2-3.1-1.5-3.5-1.30.10.70.9-0.5013.2-0.2-0.3-2-0.92.8-2.2
Net Change In Cash -331.7-97.510.2115.1-16.1-104.853.363.82524.7-2.6-18.9-13.727.3-1.9-52.5-14.737.8-82.7-82.9
Cash At End Of Period -235.6121.7219.220993.9110214.8161.597.772.74850.669.583.255.957.8110.5125.287.4170.1