Tonkens Agrar AG

FSX:GTK.DE

7.35 (EUR) • At close May 8, 2025
Overview | Financials

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

2023202220212020201920182017201620152014201320122011201020092008
Operating Activities:
Net Income 1.781.3922.541-0.63-1.158-0.2250.532-0.791-1.641-0.7190.5271.295-1.658-1.6831.462-0.468
Depreciation & Amortization 2.5672.372.2862.3032.1812.1162.1022.0922.0381.8651.5011.5051.3531.2330.970.84
Deferred Income Tax 0000000000000000
Stock Based Compensation 0000000000000000
Change In Working Capital -0.8450.663-0.611-0.7750.5820.724-0.8390.1850.0250.6390.158-0.769-0.4811.881-0.896-0.657
Accounts Receivables 001.9530.137-0.672-0.4840.572-0.7820.025000-0.122000
Inventory -1.3450.47-1.953-0.1370.6720.724-0.8390.1850.0250.6390.56-0.7691.3970.367-1.141-0.52
Accounts Payables 001.342-0.638-0.09-0.240.2670.597-0.9580000000
Other Working Capital 0.50.193-1.953-0.1370.6720.724-0.839-0.5970.933-0.198-0.4020.055-1.7551.5140.245-0.137
Other Non Cash Items 0.495-0.0180.3040.09-0.0260.7370.2851.515-0.856-1.9690.182-0.448-0.031.008-2.1320.494
Operating Cash Flow 3.9974.4074.520.9891.5793.3522.083.001-0.434-0.1842.3681.584-0.8162.439-0.5960.208
Investing Activities:
Investments In Property Plant And Equipment -3.097-2.776-2.669-2.135-3.21-1.492-1.41-3.408-3.181-5.221-6.485-3.212-6.438-6-2.042-2.494
Acquisitions Net 000.6560.0350.0920.1941.3210.5050.104-0.7800062.0422.494
Purchases Of Investments 0000-0.109-0.023-0.025-0.116-0.353-0.091-0.392-0.0020-0.04-0.093-0.83
Sales Maturities Of Investments 0.025000-0.061-0.171-1.2960.1730.1530.8710.0600.8130.130.2511.33
Other Investing Activites 0.5680.3750.7430.10.0610.291.3880.0610.0270.2880.6670.4742.439-5.339-2.128-2.53
Investing Cash Flow -2.504-2.401-2.013-2.1-3.227-1.202-0.022-2.785-3.25-4.153-6.146-2.739-3.186-5.249-1.969-2.03
Financing Activities:
Debt Repayment -0.916-1.426-1.5121.1141.001-0.412-1.972-0.6494.925.08701.858-0.081-1.7192.4442.362
Common Stock Issued 000000000.15200009.76600
Common Stock Repurchased 0000000000000-0.64500
Dividends Paid 00000000-0.9680000000
Other Financing Activities -0.748-0.645-0.552-0.7370-0.851-0.935-0.97-0.968-0.9484.48900000
Financing Cash Flow -1.664-2.071-1.5121.1141.001-1.263-2.907-1.6194.1044.1394.4891.858-0.0817.4022.4442.362
Other Information:
Effect Of Forex Changes On Cash 00-0.811-0.043000000.083-2.5371.122000-0
Net Change In Cash -0.171-0.0650.184-0.04-0.4890.887-0.849-1.4030.42-2.6520.7110.703-4.0834.592-0.1210.54
Cash At End Of Period -0.945-0.7740.8330.6490.689-1.06-1.947-1.0980.305-0.1152.5371.8261.1225.2050.6130.734