Compagnie Financière Richemont S.A.

CFRHF · OTC
Analyze with AI
3/31/2025
3/31/2024
3/31/2023
3/31/2022
Operating Activities
Net Income$3,434$3,359$1,392$3,390
Dep. & Amort.$1,560$1,432$1,473$1,553
Deferred Tax$0$0-$94-$67
Stock-Based Comp.$0$0$94$67
Change in WC-$693-$651-$1,167$81
Other Non-Cash$142$556$2,793-$386
Operating Cash Flow$4,443$4,696$4,491$4,638
Investing Activities
PP&E Inv.-$1,040-$1,026-$984-$875
Net Acquisitions-$87-$317-$378-$235
Inv. Purchases-$20,000-$18,718-$15,239-$13,698
Inv. Sales/Matur.$19,925$17,537$14,553$12,654
Other Inv. Act.-$346-$32-$25-$124
Investing Cash Flow-$1,548-$2,556-$2,073-$2,278
Financing Activities
Debt Repay.-$17$6-$2-$15
Stock Issued$162$1,072$198$0
Stock Repurch.-$104-$54$0$0
Dividends Paid-$1,710-$2,072-$1,776-$1,093
Other Fin. Act.-$881-$774-$663-$703
Financing Cash Flow-$2,550-$1,822-$2,318-$1,767
Forex Effect$42-$48-$32$195
Net Chg. in Cash$387$270$68$788
Supplemental Information
Beg. Cash$4,906$4,636$4,568$3,780
End Cash$5,293$4,906$4,636$4,568
Free Cash Flow$3,263$3,675$3,507$3,763