TTL Beteiligungs- und Grundbesitz-AG

FSX:TTO.DE

0.466 (EUR) • At close November 7, 2024
Overview | Financials

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

20232022202120202019201820172016201520142013201220112010200920082007
Operating Activities:
Net Income -15.052-0.8712.0572.4164.5454.7520.86-0.159-0.128-0.114-0.136-0.214-3.545-8.6250.341-4.270.342
Depreciation & Amortization 0.0030.0040.0040.0050.003-0.0030.0010000000000
Deferred Income Tax 0-0.018-0.0140.022-0.061-0.043-0.0050000000000
Stock Based Compensation 00.0140.01-0.0270.0580.0430.0050000000000
Change In Working Capital -1.346-1.8-1.282-3.61-0.1771.3920.070.0120.005-0.0530.0240.062-0.118-0.170.0650.213-0.121
Accounts Receivables -0.819-2.088-0.986-3.38-0.794-0.008-0.0460000000000
Inventory 000001.1020.1690000000000
Accounts Payables 000000.303-0.0070.0230.00200000000
Other Working Capital -1.3460.288-0.296-0.230.617-0.0050.124-0.0110.003-0.0160.005000000
Other Non Cash Items 14.062.749-1.975-1.369-6.105-7.066-1.3310.0030.0030.0020.0103.4268.391-0.7223.702-0.635
Operating Cash Flow -2.3410.078-1.2-2.563-1.737-0.925-0.394-0.144-0.12-0.165-0.102-0.152-0.237-0.404-0.316-0.355-0.414
Investing Activities:
Investments In Property Plant And Equipment -0.001-0.003-0.0067.205-0.003-1.639-0.0060000000000
Acquisitions Net -0.044-0.437-12.143-7.205-1.622-0.264-0.14900000000.5520.4810
Purchases Of Investments -0.044-0.437-12.143-8.78-1.618-1.561-0.9710000000000
Sales Maturities Of Investments 0.2690.43724.2861.5751.6181.6390.0560000000.53600.7850
Other Investing Activites 0.7431.652-12.1437.51.1652.1040.4130000000000
Investing Cash Flow 0.2241.212-12.1490.295-0.460.279-0.6570000000.5360.5521.2660
Financing Activities:
Debt Repayment -4.2-12-15.5-4.928-26.814-1.711-10-0.05-0.094-0.015000000
Common Stock Issued 012.0617.864002.5261.4940.1500.130.1000000
Common Stock Repurchased 0-0.061-15.50-0.451000000000000
Dividends Paid -4.918-4.918-4.215-4.215-5.058000000000000
Other Financing Activities -0.291-12.06156.965-4.928-7.4881.51.1360.1500.0940.0150.050.150.05-0.253-0.8980.422
Financing Cash Flow -0.718-16.97929.614-9.14321.3052.3151.6290.150.050.2240.1150.050.150.05-0.253-0.8980.422
Other Information:
Effect Of Forex Changes On Cash 00.00100.001000.0210000000000
Net Change In Cash -2.835-15.68816.265-11.4111.621.6690.5990.006-0.070.0590.013-0.102-0.0870.182-0.0170.0130.008
Cash At End Of Period 0.243.07518.7632.49813.9082.2880.6190.0190.0130.0830.0240.0110.1130.20.0180.0350.022