Vinci S.A.

DG.PA · PAR
Analyze with AI
12/31/2024
12/31/2023
12/31/2022
12/31/2021
Operating Activities
Net Income€5,274,000€4,702,000€4,417,000€2,597,000
Dep. & Amort.€3,998,000€3,800,000€3,613,000€3,219,000
Deferred Tax€0-€415,000€0€116,000
Stock-Based Comp.€230,000€360,000€356,000€288,000
Change in WC€2,311,000€1,463,000€392,000€1,579,000
Other Non-Cash-€99,000€630,000€609,000€7,000
Operating Cash Flow€11,714,000€10,540,000€9,387,000€7,806,000
Investing Activities
PP&E Inv.-€4,052,000-€3,332,000-€3,501,000-€2,063,000
Net Acquisitions-€4,597,000-€391,000-€1,996,000-€3,936,000
Inv. Purchases€0€0€0€0
Inv. Sales/Matur.€0€141,000€140,000€1,322,000
Other Inv. Act.-€402,000-€395,000€59,000-€1,127,000
Investing Cash Flow-€9,051,000-€3,977,000-€5,298,000-€5,804,000
Financing Activities
Debt Repay.€2,124,000€146,000-€867,000-€404,000
Stock Issued€668,000€709,000€491,000€739,000
Stock Repurch.-€1,912,000-€397,000-€1,100,000-€602,000
Dividends Paid-€2,570,000-€2,294,000-€1,830,000-€1,528,000
Other Fin. Act.-€1,337,000-€1,596,000€523,000-€1,464,000
Financing Cash Flow-€3,027,000-€3,432,000-€2,783,000-€3,259,000
Forex Effect-€24,000€0€1,000€0
Net Chg. in Cash-€404,000€3,206,000€1,307,000-€1,238,000
Supplemental Information
Beg. Cash€14,701,000€11,495,000€10,188,000€11,426,000
End Cash€14,297,000€14,701,000€11,495,000€10,188,000
Free Cash Flow€7,662,000€7,208,000€5,886,000€5,743,000