Cofle S.p.A.

CFL.MI · MIL
Analyze with AI
12/31/2024
12/31/2023
12/31/2022
12/31/2021
Operating Activities
Net Income-€5€0€2€8
Dep. & Amort.€4€3€3€2
Deferred Tax€0-€0€0€0
Stock-Based Comp.€0€0€0€0
Change in WC-€4€1-€5-€5
Other Non-Cash€2€1€0€2
Operating Cash Flow-€3€5€1€7
Investing Activities
PP&E Inv.-€5-€7-€3-€5
Net Acquisitions€0€0€0€0
Inv. Purchases-€0-€0-€0€0
Inv. Sales/Matur.€0€0€1€0
Other Inv. Act.€0-€1€0€1
Investing Cash Flow-€4-€8-€2-€4
Financing Activities
Debt Repay.-€1€3€9-€1
Stock Issued€1€0€0€10
Stock Repurch.-€1-€0€0€0
Dividends Paid-€1-€2-€2€0
Other Fin. Act.€0-€0-€0-€1
Financing Cash Flow-€2€1€6€9
Forex Effect€0€0€0€0
Net Chg. in Cash-€10-€2€5€12
Supplemental Information
Beg. Cash€18€20€15€3
End Cash€8€18€20€15
Free Cash Flow-€6-€4-€2€2