Randstad N.V.

RAND.AS · AMS
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12/31/2024
12/31/2023
12/31/2022
12/31/2021
Operating Activities
Net Income€405€831€1,137€1,033
Dep. & Amort.€325€325€309€379
Deferred Tax€0€0€0-€249
Stock-Based Comp.€60€59€49€44
Change in WC-€89€112-€213-€290
Other Non-Cash-€52-€133-€209-€3
Operating Cash Flow€649€1,194€1,073€914
Investing Activities
PP&E Inv.-€84-€93-€122-€128
Net Acquisitions-€413-€50-€167-€79
Inv. Purchases€0€0-€1-€7
Inv. Sales/Matur.€0€0€5€1
Other Inv. Act.-€21-€4-€5€6
Investing Cash Flow-€518-€147-€290-€207
Financing Activities
Debt Repay.€1,067€37-€146€539
Stock Issued€0€0€0€0
Stock Repurch.-€183-€294-€81-€54
Dividends Paid-€635-€530-€922-€604
Other Fin. Act.-€270-€247-€225-€203
Financing Cash Flow-€21-€1,034-€1,374-€322
Forex Effect-€14-€26€6€0
Net Chg. in Cash€96-€13-€585€385
Supplemental Information
Beg. Cash€261€274€859€474
End Cash€357€261€274€859
Free Cash Flow€565€1,101€951€786
Randstad N.V. (RAND.AS) Financial Statements & Key Stats | AlphaPilot