Nyrstar NV

EBR:NYR.BR

0.04 (EUR) • At close September 16, 2024
Overview | Financials

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

202320222021202020192018201720162015201420132012201120102009200820072006
Operating Activities:
Net Income -1.464-0.848-0.959-11.678-1.437-0.6180.047-0.414-0.432-0.287-195.4-95.300000328.8
Depreciation & Amortization 000000.2360.1630.1840.630.264220.1218.4145.281.750.279.731.439.5
Deferred Income Tax 00000244.4-41.620.2-237.10.045-3-74.8000000
Stock Based Compensation 000006.12.52.84.74.85.36.15.53.43.200.10
Change In Working Capital 000000.252-0.315-0.210.184-0.05205.8209.4-108.358.6-73.10211.9-88.6
Accounts Receivables 000000.0230.0310.0240.004-0.0080.0390000000
Inventory 000000.228-0.347-0.2340.181-0.043198.5-19931.6-51.3-185.4099.6-19.2
Accounts Payables 00000-165.479.6-15433.30-0.0390000000
Other Working Capital 00000165.4-79.615-433.3-0.0747.262408.4-139.9109.9112.30112.3-69.4
Other Non Cash Items 1.4640.8480.95911.6781.437-244.29441.742-19.845236.6860.37966.197.678.866.80.7338.155.7-27.9
Operating Cash Flow 000-00.001-0.0180.038-0.081-0.0270.311298.9361.4121.2210.5-19417.8299.1251.8
Investing Activities:
Investments In Property Plant And Equipment 00000-0.244-0.368-0.294-0.401-0.273-193.3-247.8-228.7-147-67.9-116.4-42.5-65.5
Acquisitions Net 000009.534.8134.23.3-324.7-670-29.5-98.90-2,467.50
Purchases Of Investments 000000000000-7.6-16.2-4.300-0.3
Sales Maturities Of Investments 000000000000-2.26.83.1000
Other Investing Activites 00000-9.489-34.764-12.985-4.193-3.2925.29.117.8-240.912.719.15.311.2
Investing Cash Flow 00000-0.233-0.332-0.279-0.394-0.265-191.1-214-890.7-426.8-155.3-97.3-2,504.7-54.6
Financing Activities:
Debt Repayment 00000-0.041-0.224-0.417-0.081-0.371-17.1-42.4-648.6-3-158.4-178.7-77.5-175.3
Common Stock Issued 00000097.6372.121.8255.611.70474.10002,1950
Common Stock Repurchased 000000-97.376-3.50000-44.5-29.30000
Dividends Paid 00000-11.4-7.4-3.500-24-26.1-24.7-1000-135.90
Other Financing Activities 000000.469-97.126-367.79-21.732-255.10638.1-64.91,018.9333.7121.4-41.93500
Financing Cash Flow 000000.4160.2430.389-0.0140.1238.7-133.4775.2291.4-37-220.62,331.6-175.3
Other Information:
Effect Of Forex Changes On Cash 000000.005-0.010.0050.0320.037-12.2-3.311.11.5-1.7-1.7-1.7-0.9
Net Change In Cash 02.765-0.539-0.673-237.7260.171-0.0610.033-0.4020.206104.210.716.876.6-21398.2124.321
Cash At End Of Period 02.8280.0630.6011.2740.2390.0680.1290.0960.499292.3188.1177.4160.684297198.874.5