SRV Yhtiöt Oyj (HEL:SRV1V)
Finland flag Finland · Delayed Price · Currency is EUR
5.32
-0.06 (-1.12%)
Jul 17, 2026, 5:04 PM EET

SRV Yhtiöt Oyj Cash Flow Statement

Millions EUR. Fiscal year is Jan - Dec.
Fiscal Year
TTMFY 2025FY 2024FY 2023FY 2022FY 2021
Period Ending
Mar '26 Dec '25 Dec '24 Dec '23 Dec '22 Dec '21
Other Adjustments
-6.64-6.14-4.27-7.75-13.34-18.65
Changes in Income Taxes Payable
-00-0.15-0.26-0.11
Changes in Other Operating Activities
-1.6131.64.639.543.4987.69
Operating Cash Flow
-8.3425.460.371.65-10.1168.93
Operating Cash Flow Growth
-6875.07%-77.86%--48.75%
Capital Expenditures
-3.79-5.79-2.59-2.92-2.48-1.34
Sale of Property, Plant & Equipment
0.10.090.430.250.520.77
Purchases of Investments
-0-2.07-1.91-0.13-3.06
Proceeds from Sale of Investments
-02.281.114.170
Payments for Business Acquisitions
------0.38
Proceeds from Business Divestments
31.9331.4310.131.820-
Other Investing Activities
----0.03011.23
Investing Cash Flow
28.1325.738.18-1.692.087.23
Short-Term Debt Issued
3.945.940---
Net Short-Term Debt Issued (Repaid)
3.945.940---
Long-Term Debt Issued
6.4429.44-0.139.78-9.74-22.58
Long-Term Debt Repaid
-3.83-19.29-4.58-12.58-34.12-79.66
Net Long-Term Debt Issued (Repaid)
2.6110.15-4.72-2.8-43.86-102.24
Issuance of Common Stock
----32.060
Repurchase of Common Stock
-0.4-0.11-0.09-0.1-0.730
Net Common Stock Issued (Repurchased)
-0.4-0.11-0.09-0.131.330
Other Financing Activities
-3.21-3.88-2.78-2.78-2.77-3.21
Financing Cash Flow
6.812.1-7.59-5.68-15.29-105.44
Effect of Exchange Rate Changes on Cash and Cash Equivalents
-0000.620.55
Net Cash Flow
26.5963.290.95-5.71-23.32-29.29
Free Cash Flow
-12.1319.67-2.22-1.27-12.5967.59
Free Cash Flow Growth
-----48.49%
FCF Margin
-1.65%2.61%-0.30%-0.21%-1.85%8.25%
Free Cash Flow Per Share
-0.380.62-0.07-0.08-0.957.19
Levered Free Cash Flow
15.2657.352.59-11.44-128.76-35.87
Unlevered Free Cash Flow
26.5358.9514.88-0.59-69.2884.51