Coty Inc. (BVMF:COTY34)
Brazil flag Brazil · Delayed Price · Currency is BRL
6.79
+0.23 (3.51%)
At close: Feb 10, 2026

Coty Inc. Cash Flow Statement

Millions USD. Fiscal year is Jul - Jun.
Fiscal Year
TTMFY 2025FY 2024FY 2023FY 2022FY 2021
Period Ending
Dec '25 Jun '25 Jun '24 Jun '23 Jun '22 Jun '21
Net Income
-530.2-367.989.4508.2259.5-201.3
Depreciation & Amortization
434.8420421.1426.7516.4585.3
Loss (Gain) From Sale of Assets
76.176.13.9-99.7-115.815.4
Asset Writedown & Restructuring Costs
220.3212.8--31.4-
Loss (Gain) From Sale of Investments
245.785.6-21.7-226.3-400.3-70.3
Stock-Based Compensation
49.95088.8135.9195.529.9
Provision & Write-off of Bad Debts
9.96.32.7-18.920.5-13.2
Other Operating Activities
160.6322.5218-14.799.9-41.6
Change in Accounts Receivable
-60.6-81.1-104.536.8-77.210.5
Change in Inventory
-17.34.867.2-180.3-48.381.2
Change in Accounts Payable
-38.7-167.9-49.1147.5140.5-49.7
Change in Income Taxes
-42.1-38.5-77.359.991.719.9
Change in Other Net Operating Assets
77.2-30.1-23.9-149.418.9-293.8
Operating Cash Flow
585.6492.6614.6625.7726.6318.7
Operating Cash Flow Growth
8.77%-19.85%-1.77%-13.89%127.99%-
Capital Expenditures
-194.8-215-245.2-222.8-174.1-173.9
Sale of Property, Plant & Equipment
-----4.3
Cash Acquisitions
9.312.619104.6--
Divestitures
-----27
Investment in Securities
750---230.6248
Other Investing Activities
7474--213.22,337
Investing Cash Flow
638.5-128.4-226.2-118.2269.72,442
Short-Term Debt Issued
----0.6-
Long-Term Debt Issued
-2,4934,2831,5581,4854,509
Total Debt Issued
3,2242,4934,2831,5581,4864,509
Long-Term Debt Repaid
--2,613-4,610-1,826-2,207-7,488
Total Debt Repaid
-3,906-2,613-4,610-1,826-2,207-7,488
Net Debt Issued (Repaid)
-682.4-120.7-327.5-268.2-721.1-2,979
Issuance of Common Stock
--355.90.9-227.2
Preferred Dividends Paid
-13.2-13.2-13.2-13.2-55.8-24.2
Common Dividends Paid
--0.1-0.2-0.5-1.4-1.5
Dividends Paid
-13.2-13.3-13.4-13.7-57.2-25.7
Other Financing Activities
-376.4-292.8-351.7-188.3-255.7-17.4
Financing Cash Flow
-1,072-426.8-336.7-469.3-1,034-2,795
Foreign Exchange Rate Adjustments
27.312.4-14.9-18.2-8.9-7.1
Net Cash Flow
179.4-50.236.820-46.6-41.6
Free Cash Flow
390.8277.6369.4402.9552.5144.8
Free Cash Flow Growth
33.15%-24.85%-8.31%-27.08%281.56%-
Free Cash Flow Margin
6.73%4.71%6.04%7.25%10.42%3.13%
Free Cash Flow Per Share
0.450.320.420.450.660.19
Cash Interest Paid
221.6218.9205.7229.1215.4230.6
Cash Income Tax Paid
86.595.4172.658.697.215.9
Levered Free Cash Flow
381.14343.91566.86286.59873.194,099
Unlevered Free Cash Flow
514.83485.79724.11449.781,0244,244
Change in Working Capital
-81.5-312.8-187.6-85.5125.6-231.9
Source: S&P Global Market Intelligence. Standard template. Financial Sources.