HEIA.AS Cash Flow Statement


* In Millions (except for per share items) of EUR
Period Ending: LTM
(Last Twelve Months)
2023
12-31
2022
12-31
2021
12-31
2020
12-31
2019
12-31
2018
12-31
2017
12-31
2016
12-31
2015
12-31
2014
12-31
2013
12-31
2012
12-31
2011
12-31
2010
12-31
2009
12-31
2008
12-31
2007
12-31
2006
12-31
2005
12-31
2004
12-31
2003
12-31
2002
12-31
2001
12-31
2000
12-31
1999
12-31
Report Filing: 2023-12-31 2022-12-31 2021-12-31 2020-12-31 2019-12-31 2018-12-31 2017-12-31 2016-12-31 2015-12-31 2014-12-31 2013-12-31 2012-12-31 2011-12-31 2010-12-31 2009-12-31 2008-12-31 2007-12-31 2006-12-31 2005-12-31 2004-12-31 2003-12-31 2002-12-31 2001-12-31 2000-12-31 1999-12-31
Net Income/Starting Line 2304000000 2682000000 3324000000 -204000000 2166000000 1913000000 1935000000 1540000000 1892000000 1516000000 1364000000 3109000000 1560000000 1568000000 1142000000 347000000 972000000 1345000000 761000000 537000000 798000000 857000000 767000000 621000000 516000000
Cash From Operating Activities 4430000000 4496000000 4181000000 3136000000 4337000000 4388000000 3882000000 3718000000 3489000000 3058000000 2914000000 2695000000 2911000000 2657000000 2379000000 1660000000 1730000000 1849000000 1872000000 1277000000 1637000000 1184000000 1165000000 1035000000 936000000
Depreciation and Amortization 2202000000 2005000000 1840000000 1907000000 1887000000 1472000000 1492000000 1473000000 1468000000 1368000000 1412000000 1316000000 1168000000 1118000000 1083000000 1206000000 764000000 786000000 768000000 773000000 644000000 529000000 0 0 0
Deferred Income Tax -851000000 87000000 -3468000000 -458000000 -13000000 -44000000 371000000 206000000 -1000000 381000000 27000000 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Stock Based Compensation -4550000000 57000000 51000000 -1000000 31000000 48000000 55000000 42000000 33000000 48000000 10000000 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Other Non-Cash Items 5503000000 352000000 2461000000 1334000000 379000000 1194000000 826000000 911000000 128000000 555000000 165000000 -1667000000 8000000 -278000000 1000000 268000000 80000000 -169000000 260000000 -101000000 8000000 29000000 398000000 443000000 466000000
Changes in Working Capital -178000000 -687000000 -27000000 558000000 -113000000 -195000000 -426000000 -248000000 -32000000 -429000000 -37000000 -63000000 175000000 249000000 153000000 -161000000 -86000000 -113000000 83000000 68000000 187000000 -231000000 0 -29000000 -46000000
Accounts Receivable -42000000 -668000000 -697000000 1124000000 -245000000 -66000000 -241000000 -228000000 -59000000 -325000000 5000000 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Inventory -4000000 -793000000 -308000000 -18000000 -257000000 -129000000 -185000000 -20000000 27000000 -104000000 -42000000 -52000000 -145000000 95000000 202000000 -157000000 -140000000 -50000000 -18000000 0 0 0 0 0 0
Accounts Payable -100000000 981000000 1268000000 -759000000 510000000 908000000 495000000 328000000 403000000 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Deferred Revenue -32000000 -207000000 -290000000 211000000 -121000000 -908000000 -495000000 -656000000 -806000000 0 0 -11000000 320000000 154000000 -49000000 -4000000 54000000 -63000000 101000000 68000000 187000000 0 0 0 0
Other Working Capital 0 0 0 0 0 0 0 328000000 403000000 0 0 0 0 0 0 0 0 0 0 0 0 -231000000 0 -29000000 -46000000
Cash From Investing Activities -3862000000 -2677000000 -2287000000 -1442000000 -4976000000 -2355000000 -2965000000 -2007000000 -2064000000 -1673000000 -841000000 -5625000000 -1755000000 -407000000 -787000000 -4744000000 -1263000000 -799000000 -1194000000 -1671000000 -2080000000 -1973000000 -784000000 -1503000000 -527000000
Investments in Property Plant and Equipment -2677000000 -2011000000 -1597000000 -1640000000 -2101000000 -1888000000 -1696000000 -1757000000 -1638000000 -1494000000 -1369000000 -1248000000 -856000000 -704000000 -777000000 -1260000000 -1145000000 -877000000 -874000000 -657000000 -637000000 -731000000 -596000000 -418000000 -441000000
Payments for Acquisitions -681000000 -441000000 133000000 91000000 135000000 54000000 -868000000 122000000 305000000 -189000000 555000000 -4415000000 -937000000 257000000 -67000000 -3512000000 -233000000 -72000000 -460000000 0 -26000000 0 0 0 0
Purchases of Securities -409000000 -45000000 -678000000 -9000000 -2875000000 -159000000 -93000000 -68000000 -543000000 0 0 0 0 -145000000 -233000000 -202000000 -89000000 0 0 0 -175000000 0 0 0 0
Proceeds from Sales and Maturities of Securities 53000000 8000000 11000000 249000000 50000000 1000000 16000000 -54000000 54000000 0 0 0 0 57000000 34000000 80000000 44000000 0 0 37000000 71000000 0 0 0 0
Other Investing Activities -148000000 -188000000 -156000000 -133000000 -185000000 -363000000 -324000000 -304000000 -242000000 10000000 -27000000 38000000 38000000 128000000 256000000 150000000 160000000 150000000 140000000 -1051000000 -1313000000 -1242000000 -188000000 -1085000000 -86000000
Cash From Financing Activities -530000000 -2736000000 -2873000000 1242000000 -913000000 -967000000 -966000000 -672000000 -1173000000 -2453000000 -1752000000 3056000000 -1034000000 -2172000000 -1837000000 3309000000 -656000000 -649000000 -592000000 -125000000 992000000 240000000 -206000000 175000000 -126000000
Debt Repayment -2137000000 -1290000000 -1791000000 -2323000000 -138000000 -1545000000 -3205000000 -1001000000 -1753000000 -2443000000 -2474000000 -2928000000 -1587000000 -3127000000 -3411000000 -2532000000 -265000000 -578000000 -700000000 -324000000 -271000000 -56000000 -182000000 -187000000 -97000000
Common Stock Issued -909000000 1724000000 12000000 11000000 428000000 1565000000 0 1032000000 2130000000 2452000000 2495000000 0 1782000000 1920000000 2052000000 6361000000 77000000 262000000 0 0 3000000 0 0 0 0
Common Stock Repurchased -942000000 -43000000 1789000000 -281000000 -259000000 -20000000 0 -31000000 -377000000 -9000000 -21000000 0 -687000000 -381000000 -13000000 -11000000 -15000000 -14000000 0 -2000000 0 0 0 0 0
Dividends Paid -1335000000 -1099000000 -796000000 -583000000 -951000000 -1090000000 -1011000000 -1031000000 -909000000 -723000000 -710000000 -604000000 -580000000 -483000000 -392000000 -485000000 -450000000 -294000000 -271000000 0 -241000000 -187000000 -168000000 -160000000 -113000000
Other Financing Activities 4793000000 -2028000000 -2087000000 4418000000 7000000 123000000 3250000000 1391000000 1866000000 722000000 1453000000 6588000000 38000000 -101000000 -73000000 -24000000 -3000000 -25000000 379000000 201000000 1501000000 483000000 144000000 522000000 84000000
Effect of Forex Changes on Cash -231000000 -21000000 16000000 -104000000 -9000000 5000000 -140000000 45000000 -43000000 29000000 -55000000 114000000 6000000 36000000 5000000 70000000 -5000000 -8000000 -13000000 1000000 15000000 -36000000 85000000 -80000000 -63000000
Net Change in Cash -388000000 -483000000 -752000000 2179000000 -1082000000 1071000000 -189000000 1084000000 209000000 -1039000000 266000000 240000000 128000000 114000000 -240000000 295000000 -194000000 393000000 73000000 -550000000 532000000 -673000000 260000000 -373000000 220000000
Cash at Beginning of Period 2765000000 3248000000 4000000000 1821000000 2903000000 1177000000 1366000000 282000000 73000000 1112000000 846000000 606000000 478000000 364000000 604000000 309000000 627000000 234000000 161000000 737000000 205000000 878000000 618000000 991000000 771000000
Cash at End of Period 2377000000 2765000000 3248000000 4000000000 1821000000 2248000000 1177000000 1366000000 282000000 73000000 1112000000 846000000 606000000 478000000 364000000 604000000 433000000 627000000 234000000 187000000 737000000 205000000 878000000 618000000 991000000
Free Cash Flow 1753000000 2485000000 2584000000 1496000000 2236000000 2500000000 2186000000 1961000000 1851000000 1564000000 1545000000 1447000000 2055000000 1953000000 1602000000 400000000 585000000 972000000 998000000 620000000 1000000000 453000000 569000000 617000000 495000000
Operating Cash Flow 4430000000 4496000000 4181000000 3136000000 4337000000 4388000000 3882000000 3718000000 3489000000 3058000000 2914000000 2695000000 2911000000 2657000000 2379000000 1660000000 1730000000 1849000000 1872000000 1277000000 1637000000 1184000000 1165000000 1035000000 936000000
Capital Expenditure -2677000000 -2011000000 -1597000000 -1640000000 -2101000000 -1888000000 -1696000000 -1757000000 -1638000000 -1494000000 -1369000000 -1248000000 -856000000 -704000000 -777000000 -1260000000 -1145000000 -877000000 -874000000 -657000000 -637000000 -731000000 -596000000 -418000000 -441000000

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