Ateme S.A.

ATEME.PA · PAR
Analyze with AI
12/31/2024
12/31/2023
12/31/2022
12/31/2021
Operating Activities
Net Income-€5,376-€3,995-€46€1,785
Dep. & Amort.€4,198€4,118€3,939€4,124
Deferred Tax€658€0-€22,519-€339
Stock-Based Comp.€0€776€1,073€1,187
Change in WC-€9,326-€2,294-€12,708-€7,939
Other Non-Cash€13,758€2,022€22,684€1,254
Operating Cash Flow-€8,424€627-€7,577€72
Investing Activities
PP&E Inv.-€2,866-€2,068-€3,213-€3,007
Net Acquisitions€0€0€399-€3,738
Inv. Purchases-€40-€133-€257€0
Inv. Sales/Matur.€0€0-€399€21
Other Inv. Act.€0-€1,175€394-€399
Investing Cash Flow-€2,906-€3,376-€3,076-€7,123
Financing Activities
Debt Repay.€15,788€4,828€75€589
Stock Issued€0€0€38€1,440
Stock Repurch.€0-€99€0€0
Dividends Paid€0€0€0€0
Other Fin. Act.-€12,888€672€1,825-€120
Financing Cash Flow€2,900€5,401€1,938€1,909
Forex Effect€41-€37€129€121
Net Chg. in Cash€3,946€2,616-€8,585-€5,648
Supplemental Information
Beg. Cash€5,478€2,862€11,447€17,095
End Cash€9,460€5,478€3,904€11,447
Free Cash Flow-€10,170-€1,441-€10,790-€2,935
Ateme S.A. (ATEME.PA) Financial Statements & Key Stats | AlphaPilot