Dürr Aktiengesellschaft (VIE:DUE)
Austria flag Austria · Delayed Price · Currency is EUR
20.45
-1.10 (-5.10%)
At close: Mar 6, 2026

Dürr Aktiengesellschaft Cash Flow Statement

Millions EUR. Fiscal year is Jan - Dec.
Fiscal Year
FY 2025FY 2024FY 2023FY 2022FY 2021
Period Ending
Dec '25 Dec '24 Dec '23 Dec '22 Dec '21
Net Income
203.3101.52111.98131.0383.05
Depreciation & Amortization
278144.04114.65111.9110.45
Other Amortization
-23.118.2815.8313.92
Loss (Gain) From Sale of Assets
--13.340.94-0.53-2.23
Asset Writedown & Restructuring Costs
-0.151.532.212.53
Loss (Gain) From Sale of Investments
---4.59-
Loss (Gain) on Equity Investments
--0.82-2.56-0.64-1.25
Other Operating Activities
-188.520.03-13.0719.2358.38
Change in Accounts Receivable
-13.8256.39-171.02-19.24
Change in Inventory
-128.36102.68-160.62-137.17
Change in Accounts Payable
--118.17-59.96240.14-35.7
Change in Unearned Revenue
-89.23-108.28105.38211.97
Change in Other Net Operating Assets
99.9-3.6564.91-32.79-27.74
Operating Cash Flow
392.7384.27287.49264.7256.97
Operating Cash Flow Growth
2.20%33.66%8.61%3.01%19.54%
Capital Expenditures
-116.5-115.43-78.58-74.93-53.89
Sale of Property, Plant & Equipment
-26.08-6.357.95
Cash Acquisitions
-99.4-1.02-322.57-4.98-74.95
Sale (Purchase) of Intangibles
--38.42-38.18-26.83-25.08
Investment in Securities
--119.41149.28104.1913.65
Other Investing Activities
-46.233.3133.469.4810.44
Investing Cash Flow
-262.1-214.9-256.5913.28-121.89
Short-Term Debt Issued
--321.47--
Long-Term Debt Issued
-349.4299.41-197.97
Total Debt Issued
-349.4620.88-197.97
Short-Term Debt Repaid
--334.62--1.52-1.01
Long-Term Debt Repaid
-37.2-260.56-203.46-55.56-475.85
Total Debt Repaid
-37.2-595.17-203.46-57.07-476.85
Net Debt Issued (Repaid)
-37.2-245.77417.42-57.07-278.89
Repurchase of Common Stock
--8.24-7.96-0-
Common Dividends Paid
-49.2-48.44-48.44-34.6-20.76
Other Financing Activities
286.5-73.35-59.34-49.65-34.53
Financing Cash Flow
200.1-375.8301.69-141.33-334.18
Foreign Exchange Rate Adjustments
-2.02-11.81-2.4312.89
Miscellaneous Cash Flow Adjustments
-0.2-1.97---
Net Cash Flow
330.5-206.38320.79134.23-186.21
Free Cash Flow
276.2268.83208.91189.77203.08
Free Cash Flow Growth
2.74%28.68%10.08%-6.55%9.13%
Free Cash Flow Margin
6.17%6.26%4.98%4.40%5.74%
Free Cash Flow Per Share
3.983.632.832.622.84
Cash Interest Paid
-63.5936.7821.6129.62
Cash Income Tax Paid
67.577.2383.6259.1845.53
Levered Free Cash Flow
428.6984.22-29.04122.0371.94
Unlevered Free Cash Flow
461.25126.112.56133.5195.15
Change in Working Capital
99.9109.5855.74-18.91-7.88
Source: S&P Global Market Intelligence. Standard template. Financial Sources.