Maire Tecnimont S.p.A.

3OY1.MU · MUN
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12/31/2024
12/31/2023
12/31/2022
12/31/2021
Operating Activities
Net Income€212,403€125,356€89,890€83,301
Dep. & Amort.€60,530€56,543€48,165€41,182
Deferred Tax€0€0€6,171-€3,756
Stock-Based Comp.€0€0€0€0
Change in WC-€48,594€165,859€133,961€66,268
Other Non-Cash€60,605€21,943-€68,215-€29,176
Operating Cash Flow€284,944€369,701€275,777€196,499
Investing Activities
PP&E Inv.-€40,186-€34,545-€24,395-€30,598
Net Acquisitions-€10,808-€24,420-€2,423€0
Inv. Purchases-€571€0€0-€418
Inv. Sales/Matur.€0€1,157€1,600€0
Other Inv. Act.€0-€1,157€0-€418
Investing Cash Flow-€51,565-€58,965-€25,218-€31,016
Financing Activities
Debt Repay.€110,589-€57,820-€18,586-€143,555
Stock Issued€0€0€0€0
Stock Repurch.-€47,310-€3,824-€2,915-€5,479
Dividends Paid-€82,085-€40,738-€60,105-€38,122
Other Fin. Act.€23,706-€53,445-€83,590-€6,554
Financing Cash Flow€4,900-€155,827-€165,196-€193,710
Forex Effect-€1€0€0€0
Net Chg. in Cash€238,278€154,909€85,363-€28,227
Supplemental Information
Beg. Cash€915,501€762,463€677,100€705,327
End Cash€1,153,779€917,372€762,463€677,100
Free Cash Flow€244,758€335,156€251,382€165,901