CDRL S.A. (WSE:CDL)
Poland flag Poland · Delayed Price · Currency is PLN
8.85
+0.45 (5.36%)
Jun 5, 2026, 4:33 PM CET

CDRL S.A. Cash Flow Statement

Millions PLN. 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
Net Income
9.017.2613.49-3.3812.0531.74
Depreciation & Amortization
1.412.583.578.625.3217.42
Other Amortization
---1.872.332.6
Loss (Gain) From Sale of Assets
0.931.34-1.49-7.33-10.74-4.9
Other Operating Activities
1.2-1.468.3410.264.478.42
Change in Accounts Receivable
-2.86-1.322.54.15-6.621.17
Change in Inventory
-3.5-16.7434.3323.24-67.58-12.14
Change in Other Net Operating Assets
-10.257.582.25-16.684.9616.2
Operating Cash Flow
-4.06-0.7762.9918.8-55.7460.68
Operating Cash Flow Growth
--235.13%---14.59%
Capital Expenditures
-3.54-4.07-2.06-2.9-4.79-2.94
Sale of Property, Plant & Equipment
0.070.120.180.280.370.51
Investment in Securities
7-----
Other Investing Activities
0.680.20.050.260.1-
Investing Cash Flow
1.21-6.75-3.82-1.11-4.12-2.43
Long-Term Debt Issued
-8.664.4422.6764.3353.47
Long-Term Debt Repaid
--13.49-44.74-36.67-21.39-88.96
Net Debt Issued (Repaid)
10.67-4.83-40.31-1442.94-35.5
Repurchase of Common Stock
------0.2
Common Dividends Paid
-----4.51-12.03
Other Financing Activities
-2.46-1.98-4.47-5.477.62-5.38
Financing Cash Flow
8.21-6.81-44.77-19.4746.05-53.09
Foreign Exchange Rate Adjustments
-0.69-0.040.09-0.02-0.01-0.17
Miscellaneous Cash Flow Adjustments
----0--
Net Cash Flow
4.68-14.3614.48-1.8-13.824.98
Free Cash Flow
-7.6-4.8360.9315.9-60.5457.73
Free Cash Flow Growth
--283.34%---11.55%
Free Cash Flow Margin
-2.88%-1.86%23.48%5.78%-21.33%13.61%
Free Cash Flow Per Share
--0.8010.132.64-10.079.60
Cash Interest Paid
1.981.984.475.972.935.38
Cash Income Tax Paid
1.491.49-1.94-0.416.885.29
Levered Free Cash Flow
-3.57-6.1642.7219.96-49.1743.28
Unlevered Free Cash Flow
-2.81-6.1642.8423.66-47.3146.61
Change in Working Capital
-16.6-10.4839.0810.71-69.245.23