B.V. Delftsch Aardewerkfabriek "De Porceleyne Fles Anno 1653"

AMS:PORF.AS

13.3 (EUR) • At close October 17, 2024
Overview | Financials

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

20232022202120202019201820172016201520142013201220112010200920082007
Operating Activities:
Net Income 0.1470.9860.703-0.6841.2970.1260.1770.2010.3950.50.4590.5510.135-0.7510.087-1.2440.117
Depreciation & Amortization 0.9130.8040.7360.7740.8240.6140.8670.9341.0971.0980.9120.9320.8580.8640.9270.3750.132
Deferred Income Tax 00000000000000000
Stock Based Compensation 00000000000000000
Change In Working Capital 2.1940.3150.445-0.973-0.986-0.687-0.8830.1291.5321.544-0.705-1.438-0.3640.206-0.4131.323-0.078
Accounts Receivables 1.432-0.0070.047-1.635-1.65-0.2710.614-0.0730.8022.336-1.322-1.89300000
Inventory -0.071-0.0270.1480.3770.0910.313-1.8230.4480.112-0.4240.2710.370.751-0.7310.9870.72-0.028
Accounts Payables 0.8330.3490.250.2850.573-0.7290.319-0.3090.61800000000
Other Working Capital 0.8330000-10.94-0.3191.421.968-0.976-1.808-1.1150.937-1.40.603-0.05
Other Non Cash Items -0.67-0.328-0.385-0.45-1.076-0.09-0.031-0.289-0.586-0.701-0.328-0.3390.043-0.266-0.077-0.208-0.044
Operating Cash Flow 2.5841.7771.499-1.3330.059-0.0370.130.9752.4382.4410.338-0.2940.6720.0530.5240.2460.127
Investing Activities:
Investments In Property Plant And Equipment -0.415-2.675-0.805-0.131-0.573-0.901-0.956-0.829-0.902-0.952-1.11-0.809-1.147-0.824-0.544-0.35-0.248
Acquisitions Net 0002.6580.01110.510.02000.0090.01-0.123000-9.610
Purchases Of Investments -2.034-3.218-1.9110.055-7.904-13.07500000000000
Sales Maturities Of Investments 0000.0170.0290.0840.020.168000000000
Other Investing Activites 0.0060.0170.018-0.0550.0290.084-0.1360.0640.30.009-0.343-0.20300000
Investing Cash Flow -2.443-5.876-2.6982.544-8.437-3.382-0.936-0.661-0.602-0.943-1.1-0.932-1.147-0.824-0.544-9.96-0.248
Financing Activities:
Debt Repayment -1.163-0.535-0.485-0.085-0.082-0.075-0.108-0.777-1.231-1.401-0.176000000
Common Stock Issued 00001.650.50000000005.4250.553
Common Stock Repurchased 00003.837000000000000
Dividends Paid 0000-0.025000000000000
Other Financing Activities -0.1391.8711.9241.628-0.2547.2191.1790.035-0.087-1.4560.1760.030.1480-0.0100
Financing Cash Flow -1.3021.3361.4391.5435.1267.1441.071-0.742-1.318-1.4560.1760.030.1480-0.015.4250.553
Other Information:
Effect Of Forex Changes On Cash 000000.003-0.06-0.0070.0080.0460000000
Net Change In Cash -1.161-2.7630.242.754-3.2523.7280.205-0.4350.5260.042-0.586-1.196-0.327-0.771-0.03-4.2890.432
Cash At End Of Period 0.1031.2644.0273.7871.0334.2850.5570.3520.7870.261-7.256-6.67-5.474-5.147-4.376-4.346-0.057