Neurosoft Software Production S.A.

MIL:NRST.MI

0.7 (EUR) • At close April 22, 2024
Overview | Financials

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

2023202220212020201920182017201620152014201320122011201020092008
Operating Activities:
Net Income 1.6921.5840.799-2.853-2.993-0.668-0.4782.8612.632.5561.0030.097-1.473-4.533-0.3082.016
Depreciation & Amortization 1.4041.2191.4621.5861.9531.4220.9960.5590.3920.4520.3880.2760.2570.3390.2120.041
Deferred Income Tax 0000000000000000
Stock Based Compensation 0000000000000000
Change In Working Capital -4.4990.461-0.7630.1070.3910.1982.119-2.169-0.577-1.7091.0990.0791.5951.7330.297-1.263
Accounts Receivables -8.145-2.324-0.4910.0290.003-0.5541.596-1.028-0.812-0.197-0.7010.5370000
Inventory 0.064-0.414-0.2350.115-0.056-0.249-0.010.0010.259-0.4520.0020.013-0.022-0.0470.0320
Accounts Payables 03.199-0.037-0.0370.1270.5110.326-0.9110.0150000000
Other Working Capital 0-0.021-0.027-0.0860.3170.4472.129-2.17-0.836-1.2571.0970.0661.6171.780.2650
Other Non Cash Items 0.0650.117-0.3890.8720.8280.112-0.0170.0750.092-0.049-0.087-0.045-0.013-0.666-0.9-0.068
Operating Cash Flow -1.6923.3811.109-0.2880.1791.0652.6191.3252.5381.252.4030.4080.367-3.126-0.6990.726
Investing Activities:
Investments In Property Plant And Equipment -0.751-0.682-0.269-0.247-0.763-0.867-3.134-2.046-0.969-0.986-0.221-0.476-0.065-0.159-1.287-0.12
Acquisitions Net 000.482-0.01400.0020000000-0.032-0.7660
Purchases Of Investments 0000000000000000
Sales Maturities Of Investments 000000000000.0010.002000
Other Investing Activites -0.40200000.00300.0020.0020.0180.0080.0030.0030.0050.0460.027
Investing Cash Flow -0.751-0.6820.213-0.261-0.762-0.864-3.134-2.044-0.967-0.968-0.213-0.473-0.059-0.186-2.007-0.093
Financing Activities:
Debt Repayment -0.092-0.592-0.272-0.092-0.092-0.088-0.099-0.1330-0.279-0.002-0.026-0.3440-1.229-0.08
Common Stock Issued 000000000000007.60.002
Common Stock Repurchased 00000000000000-1.8240
Dividends Paid 00000000000000-0.2-0.2
Other Financing Activities 00.025-0.387-0.206-0.2490.088-0.099-0.1330-0.2790.038-0.014-0.0131.164-0.011-0.01
Financing Cash Flow -0.598-0.567-0.659-0.297-0.340.088-0.099-0.1330-0.2790.038-0.041-0.3581.1644.336-0.289
Other Information:
Effect Of Forex Changes On Cash 000.004-0.00400000000000.0180
Net Change In Cash -3.042.1320.667-0.851-0.9240.289-0.614-0.8511.5710.0032.228-0.106-0.05-2.1471.6480.345
Cash At End Of Period 0.7683.8081.6771.0091.862.7842.4953.1093.962.3892.3860.1590.2640.3142.4620.814