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UNITED MICROELECTRONICS CORP

Dec-25 Dec-24 Dec-23 Dec-22 Dec-21 Dec-20 Dec-19 Dec-18 Dec-17 Dec-16 Dec-15 Dec-14 Dec-13 Dec-12 Dec-11 Dec-10 Dec-09 Dec-08 Dec-07 Dec-06
Total revenue 237.55 232.30 222.53 278.71 213.01 176.82 148.20 151.25 149.28 147.87 144.83 140.01 123.81 115.68 116.70 126.44 91.39 96.91 113.32 111.99
Cost of revenue 168.65 156.65 144.79 152.94 140.96 137.82 126.89 128.41 122.23 117.49 113.06 108.16 100.25 96.26 95.42 89.52 75.97 81.21 89.77 90.62
Gross profit 68.91 75.65 77.74 125.76 72.05 39.00 21.31 22.84 27.06 30.38 31.77 31.85 23.56 19.41 21.29 36.92 15.42 15.70 23.54 21.36
Total operating expenses + 24.96 24.04 19.85 21.47 20.36 17.07 16.43 17.16 20.39 24.19 20.93 21.78 19.48 15.91 16.11 14.90 13.57 14.83 17.43 16.20
Operating income 43.95 51.61 57.89 104.29 51.69 21.93 4.88 5.68 6.57 6.19 10.84 10.08 4.03 3.71 5.18 22.02 1.85 -2.10 6.12 5.16
Non-operating income (net) 5.70 4.61 10.56 4.90 6.81 0.61 -0.08 -3.56 1.10 -1.47 2.88 3.44 10.33 2.59 4.20 3.36 -0.17 -19.91 13.55 31.42
Income before tax 49.65 56.22 68.45 109.20 58.50 22.54 4.81 2.12 7.67 4.72 13.71 13.51 14.36 6.29 9.38 25.38 1.67 -22.01 19.67 36.58
Income tax expense 8.11 9.11 8.31 19.33 7.92 1.69 0.23 -1.13 0.99 0.55 1.03 3.13 2.26 2.15 0.91 1.61 0.65 1.00 2.81 3.26
Net income 41.72 47.21 59.69 89.48 51.25 22.86 8.16 7.68 9.63 8.62 13.25 11.11 12.63 6.09 10.61 23.90 3.87 -22.34 16.96 32.61
Show Quarterly Income Statement
Mar-26 Dec-25 Sep-25 Jun-25 Mar-25 Dec-24 Sep-24 Jun-24 Mar-24 Dec-23 Sep-23 Jun-23 Mar-23 Dec-22 Sep-22 Jun-22 Mar-22 Dec-21 Sep-21 Jun-21 Mar-21 Dec-20 Sep-20 Jun-20 Mar-20 Dec-19 Sep-19 Jun-19 Mar-19 Dec-18 Sep-18 Jun-18 Mar-18 Dec-17 Sep-17 Jun-17 Mar-17 Dec-16 Sep-16 Jun-16 Mar-16 Dec-15 Sep-15 Jun-15 Mar-15 Dec-14 Sep-14 Jun-14 Mar-14 Dec-13 Sep-13 Jun-13 Mar-13 Dec-12 Sep-12 Jun-12 Mar-12 Dec-11 Sep-11 Jun-11 Mar-11 Dec-10 Sep-10 Jun-10 Mar-10 Dec-09 Sep-09 Jun-09 Mar-09 Dec-08 Sep-08 Jun-08 Mar-08 Dec-07 Sep-07 Jun-07 Mar-07 Dec-06 Sep-06 Jun-06 Mar-06
Total revenue 61.04 61.81 59.13 58.76 57.86 60.39 60.49 56.80 54.63 54.96 57.07 56.30 54.21 67.84 75.39 72.06 63.42 59.10 55.91 50.91 47.10 1.59 44.87 44.39 42.27 41.85 37.74 36.03 32.58 35.52 39.39 38.85 37.50 36.63 37.70 37.54 37.42 38.31 38.16 37.00 34.40 33.85 35.32 38.01 37.65 37.24 35.21 35.87 31.69 30.72 33.41 31.90 27.78 28.85 30.17 30.38 26.27 26.06 27.80 31.68 31.17 34.44 34.05 30.62 27.34 28.97 28.35 22.89 11.18 20.10 25.17 25.82 25.15 31.47 30.80 25.72 25.66 29.02 28.99 27.05 27.03
Cost of revenue 43.22 42.85 41.50 41.88 42.41 42.04 40.06 36.82 37.73 38.09 36.61 36.04 34.99 38.71 39.73 38.58 35.92 36.00 35.36 35.00 34.60 1.24 35.10 34.13 34.15 34.88 31.31 30.38 30.32 30.92 32.47 32.18 32.86 30.33 31.11 30.80 29.99 29.55 29.86 28.71 29.37 26.87 28.41 29.29 28.49 27.05 27.66 27.66 25.79 25.16 26.07 25.73 23.29 25.62 24.45 24.04 22.21 23.22 23.43 25.28 23.49 24.04 23.06 21.64 20.77 21.64 20.56 17.65 16.12 18.48 20.83 20.95 21.31 12.89 -0.73 21.29 11.76 11.76 -0.56 22.87 10.44
Gross profit 17.82 18.96 17.62 16.88 15.45 18.34 20.43 19.98 16.90 16.86 20.46 20.25 19.22 29.12 35.66 33.47 27.50 23.10 20.54 15.91 12.49 0.35 9.77 10.26 8.12 6.97 6.43 5.65 2.26 4.60 6.92 6.68 4.64 6.30 6.59 6.74 7.43 8.76 8.30 8.28 5.03 6.98 6.91 8.72 9.16 10.19 7.56 8.21 5.90 5.56 7.34 6.18 4.49 3.24 5.72 6.34 4.06 2.84 4.37 6.40 7.67 10.39 10.99 8.97 6.57 7.33 7.79 5.24 -4.94 1.62 4.34 4.87 25.15 31.47 30.80 4.43 25.66 29.02 28.99 4.18 27.03
Total operating expenses + 6.60 6.73 6.51 6.06 5.66 6.39 6.33 6.09 5.23 5.69 5.15 4.58 4.74 5.58 5.66 5.31 5.28 5.49 5.41 4.59 4.87 0.19 2.64 4.41 4.71 4.76 3.92 3.89 3.84 5.45 4.48 3.51 3.86 4.37 4.95 5.05 6.03 6.45 6.82 5.83 5.04 5.10 5.93 4.86 5.06 5.67 5.87 5.28 4.96 5.32 4.94 5.04 4.18 4.17 6.46 4.17 3.79 4.19 4.21 3.89 3.81 3.97 3.83 3.69 3.41 3.67 3.71 2.98 3.27 3.47 3.75 3.81 3.82 -107.20 30.80 4.09 25.66 -106.83 28.99 3.75 27.03
Operating income 11.22 12.23 11.12 10.82 9.79 11.96 14.10 13.89 11.66 11.17 15.31 15.67 14.48 23.64 30.16 28.16 22.33 17.62 15.14 11.31 7.62 0.16 7.13 5.85 3.41 2.21 2.51 1.76 -1.60 -0.71 2.44 3.18 0.77 1.90 1.63 1.67 1.37 2.28 1.48 2.45 -0.02 1.88 0.98 3.88 4.10 4.53 1.69 2.92 0.94 0.19 2.39 1.15 0.29 -0.93 1.99 2.17 0.26 -1.36 0.16 2.51 3.86 6.37 7.15 5.33 3.16 3.66 4.09 2.27 -8.17 -1.85 0.59 1.06 0.01 -75.73 30.80 0.34 25.66 -77.81 28.99 0.43 27.03
Non-operating income (net) 5.42 3.28 3.53 -0.67 -0.44 -1.44 2.46 2.53 1.06 1.56 3.34 2.81 4.65 0.89 2.19 -2.59 1.31 -2.75 4.32 1.88 3.36 0.24 2.07 0.82 -2.59 -0.18 -0.53 -0.62 1.25 -1.95 -1.61 -1.10 1.09 -0.28 1.24 0.45 -0.30 -1.34 0.47 -0.65 0.05 0.86 0.41 1.30 0.26 0.90 1.31 0.94 0.35 0.87 1.56 0.63 7.25 1.83 -0.24 0.66 1.06 1.57 0.87 0.76 1.00 0.72 1.97 0.22 0.45 0.13 2.26 -2.25 -0.31 -21.50 -1.86 0.24 0.18 104.88 -31.01 3.12 -28.91 74.57 -29.64 9.83 -28.51
Income before tax 16.64 15.50 14.64 10.15 9.35 10.51 16.56 16.42 12.72 12.73 18.65 18.49 19.13 24.53 32.35 25.58 23.65 14.87 19.45 13.19 10.98 0.39 9.21 6.66 0.82 2.04 1.98 1.14 -0.35 -2.65 0.83 2.09 1.86 1.62 2.87 2.12 1.07 0.94 1.95 1.80 0.03 2.74 1.39 5.18 4.35 5.43 2.99 3.85 1.29 1.06 3.96 1.78 7.54 0.90 1.75 2.83 1.32 0.22 1.03 3.27 4.86 7.09 9.12 5.56 3.61 3.79 6.35 0.01 -8.48 -23.35 -1.26 1.30 0.19 29.15 -0.21 3.47 -3.24 -3.24 -0.65 10.27 -1.48
Income tax expense 0.53 5.50 -0.30 1.31 1.60 2.05 2.12 2.65 2.29 1.46 2.68 2.59 2.74 5.41 5.00 4.09 3.58 3.40 2.10 1.33 1.09 0.01 0.20 0.61 -0.41 0.43 0.04 0.20 -0.44 -0.26 0.63 -0.33 -1.17 0.38 0.40 0.64 -0.43 0.19 0.19 0.22 -0.05 -0.13 0.08 0.64 0.44 2.00 0.41 0.53 0.18 0.49 0.59 0.04 1.13 0.16 1.33 0.48 0.21 0.04 0.05 0.38 0.45 0.66 0.43 0.36 0.15 -1.22 0.29 0.24 0.03 0.47 -23.45 0.12 0.09 -5.37 -5.26 16.62 -3.18 -7.59 -7.58 0.71 17.72
Net income 16.17 10.06 14.98 8.90 7.78 8.50 14.47 13.79 10.46 11.89 15.97 15.64 16.18 21.35 27.00 21.33 19.81 11.42 17.46 11.94 10.43 0.39 9.11 6.68 2.21 2.28 2.93 1.74 1.20 -1.10 1.72 3.66 3.40 1.82 3.47 2.10 2.29 2.85 2.97 2.58 0.21 2.97 1.71 4.60 3.98 4.56 2.92 3.48 1.18 0.73 3.48 1.81 6.59 1.08 1.49 2.65 1.11 2.33 0.61 3.19 4.48 6.42 8.72 5.27 3.48 4.40 6.09 1.55 -8.16 -23.53 -1.41 1.30 0.21 5.37 5.26 3.19 3.18 7.59 7.58 8.49 8.96
about 11 hours ago
Ask a follow up
Dec-25 Dec-24 Dec-23 Dec-22 Dec-21 Dec-20 Dec-19 Dec-18 Dec-17 Dec-16 Dec-15 Dec-14 Dec-13 Dec-12 Dec-11 Dec-10 Dec-09 Dec-08 Dec-07 Dec-06
Total cash and short-term investments + 128.37 115.24 144.88 178.60 170.90 109.57 98.57 84.19 82.39 58.29 53.96 46.44 53.60 47.58 54.90 59.46 68.25 50.71 52.49 103.49
Accounts receivable, net 34.50 35.70 33.16 39.20 36.37 29.24 26.02 24.70 22.66 24.00 19.99 23.06 17.60 17.17 15.33 19.56 17.49 8.96 15.85 15.25
Inventories 37.23 35.78 35.71 31.07 23.01 22.55 21.71 18.20 18.26 17.00 17.64 15.24 13.99 13.02 12.71 13.03 9.14 8.13 11.87 10.88
Other current assets 4.69 2.95 3.04 3.50 2.99 2.95 7.45 14.10 15.97 11.18 3.23 12.12 3.60 2.25 1.11 1.73 1.23 1.16 0.91 2.71
Total current assets 204.78 189.68 216.80 252.37 233.27 164.31 153.76 141.19 139.28 110.47 94.82 96.86 88.80 80.03 84.06 93.77 102.36 68.95 81.12 132.32
Total non-current assets + 374.21 370.49 329.78 272.27 217.68 213.21 216.43 223.41 251.85 273.76 240.54 213.78 205.12 200.04 195.77 187.12 151.28 147.65 218.46 235.27
Total assets 579.00 560.17 546.58 524.65 450.96 377.52 370.19 364.60 391.13 384.23 335.35 310.65 293.91 280.96 279.83 280.89 253.64 216.61 299.57 367.60
Total current liabilities + 87.60 77.40 99.01 112.61 108.25 78.24 72.71 49.90 88.82 72.79 49.49 49.20 48.20 40.03 42.91 45.44 35.25 12.85 45.29 36.10
Total non-current liabilities + 111.54 117.06 100.96 89.23 78.33 63.50 90.26 108.17 92.70 96.49 61.02 41.11 36.07 35.90 24.80 10.31 4.30 11.92 11.27 34.14
Total liabilities 199.14 194.46 202.86 201.83 186.58 141.74 162.97 158.07 181.51 169.28 110.50 90.31 84.27 75.94 67.71 55.75 39.54 24.76 56.56 70.24
Total stockholders' equity + 379.77 365.45 343.38 322.47 264.15 235.66 202.50 206.07 208.66 212.78 222.83 216.49 205.32 199.12 207.74 219.34 213.60 184.85 236.48 291.12
Common shares outstanding 2,497 2,526 2,523 2,540 2,492 2,495 2,634 2,654 2,655 2,670 2,634 2,544 2,630 2,658 2,648 2,554 2,557 2,634 3,359 2,722
Show Quarterly Balance Sheet
Mar-26 Dec-25 Sep-25 Jun-25 Mar-25 Dec-24 Sep-24 Jun-24 Mar-24 Dec-23 Sep-23 Jun-23 Mar-23 Dec-22 Sep-22 Jun-22 Mar-22 Dec-21 Sep-21 Jun-21 Mar-21 Dec-20 Sep-20 Jun-20 Mar-20 Dec-19 Sep-19 Jun-19 Mar-19 Dec-18 Sep-18 Jun-18 Mar-18 Dec-17 Sep-17 Jun-17 Mar-17 Dec-16 Sep-16 Jun-16 Mar-16 Dec-15 Sep-15 Jun-15 Mar-15 Dec-14 Sep-14 Jun-14 Mar-14 Dec-13 Sep-13 Jun-13 Mar-13 Dec-12 Sep-12 Jun-12 Mar-12 Dec-11 Sep-11 Jun-11 Mar-11 Dec-10 Sep-10 Jun-10 Mar-10 Dec-09 Sep-09 Jun-09 Mar-09 Dec-08 Sep-08 Jun-08 Mar-08 Dec-07 Sep-07 Jun-07 Mar-07 Dec-06 Sep-06 Jun-06 Mar-06
Total cash and short-term investments + 134.26 128.37 119.04 123.65 116.87 114.63 114.43 130.75 132.20 144.88 145.85 168.23 177.24 178.60 184.67 190.49 182.05 170.90 151.06 149.97 122.65 109.57 99.76 100.89 95.92 97.85 87.39 90.97 89.29 84.19 81.94 75.66 77.67 82.39 70.78 68.93 61.68 58.29 56.02 50.09 60.31 53.96 52.99 64.87 54.53 46.44 45.58 53.24 57.09 53.60 53.35 56.28 57.29 47.58 49.84 55.03 53.44 54.90 56.44 68.12 56.96 59.46 61.11 66.91 64.82 68.25 59.03 49.68 48.23 50.71 0.00 39.76 52.49 52.49 0.00 93.76 103.49 103.49 0.00 105.62 113.80
Accounts receivable, net 39.10 34.50 34.64 34.34 37.07 33.97 36.48 35.27 35.07 33.16 33.94 33.50 29.30 39.20 46.86 44.41 39.17 36.37 34.38 31.62 31.01 29.24 28.08 28.40 30.10 26.02 24.30 25.70 23.73 24.70 27.25 28.85 26.66 22.66 24.24 23.09 21.63 24.00 23.36 24.53 19.65 19.99 19.76 21.44 20.62 23.06 21.93 21.62 18.89 17.60 19.47 19.38 17.44 17.17 18.81 19.57 15.82 15.33 17.74 19.86 19.03 19.56 20.62 20.68 18.45 17.49 17.25 15.07 7.70 8.96 16.48 15.85 15.85 16.45 15.25 15.25 16.18 16.04
Inventories 38.65 37.23 35.18 34.02 35.42 35.78 38.09 36.33 34.59 35.71 36.56 34.55 32.68 31.07 30.10 27.34 25.40 23.01 23.15 22.44 22.23 22.55 22.86 23.34 22.13 21.71 19.99 19.63 18.87 18.20 17.59 17.66 17.14 18.26 17.10 16.28 16.26 17.00 17.17 17.59 15.84 17.64 16.56 16.05 15.64 15.24 14.31 13.84 14.42 13.99 14.17 14.33 14.23 13.02 13.48 13.72 12.54 12.71 14.87 13.81 14.11 13.03 11.45 10.79 9.79 9.14 8.81 8.88 7.31 8.13 12.70 11.87 11.87 11.50 10.88 10.88 11.12 10.74
Other current assets 4.44 4.69 4.00 3.17 2.96 4.69 4.61 4.86 2.57 2.16 2.93 2.75 2.74 3.50 5.32 3.54 3.05 2.99 3.02 3.80 3.20 2.95 12.78 15.32 11.45 7.45 31.81 14.21 14.90 14.10 13.37 14.92 14.96 15.85 12.59 11.77 11.97 11.18 10.42 11.39 6.12 3.23 5.73 6.87 10.24 12.12 9.98 9.67 6.36 4.38 1.91 2.91 2.84 2.35 2.44 1.84 1.74 0.82 2.02 1.49 2.00 1.73 1.98 1.77 7.09 1.23 2.45 2.44 1.32 1.50 1.98 0.91 0.91 3.36 2.71 2.71 5.29 4.65
Total current assets 216.44 204.78 192.85 195.17 192.32 189.68 193.61 207.21 204.43 215.92 219.28 239.03 241.97 252.37 266.94 265.78 249.68 233.27 211.60 207.83 179.08 164.31 163.48 167.95 159.59 153.76 163.49 150.51 146.80 141.19 140.15 137.08 136.42 139.28 124.71 120.08 111.54 110.47 106.97 103.60 101.92 94.82 95.03 109.22 101.03 96.86 91.80 98.37 96.75 88.80 88.90 92.90 91.80 80.92 84.57 90.16 83.54 84.06 91.08 103.28 92.10 93.77 95.16 100.16 100.15 102.36 87.54 76.07 64.56 68.95 70.93 81.12 81.12 125.08 132.32 132.32 138.21 145.24
Total non-current assets + 383.49 374.21 362.54 352.97 380.64 380.52 380.68 379.75 362.65 343.27 327.99 314.16 307.66 280.68 252.45 233.98 233.23 217.68 217.19 213.84 215.18 213.21 204.77 199.59 200.86 216.43 210.55 219.43 227.34 221.40 232.52 243.81 249.14 251.85 259.46 265.74 267.84 273.76 267.99 264.07 243.01 240.54 234.18 222.03 220.03 213.78 209.02 205.42 204.87 205.12 210.85 210.19 208.63 200.04 205.76 209.22 199.60 195.77 187.46 192.70 191.04 187.12 171.33 150.91 148.74 151.28 150.10 143.89 148.93 147.65 179.93 218.46 218.46 240.39 235.27 235.27 219.20 202.71
Total assets 599.93 579.00 555.40 548.14 572.96 570.20 574.29 586.96 567.07 559.19 547.27 553.20 549.63 533.05 519.39 499.75 482.91 450.96 428.79 421.68 394.26 377.52 368.24 367.54 360.46 370.19 374.04 369.94 374.14 362.60 372.67 380.89 385.56 391.13 384.17 385.82 379.38 384.23 374.96 367.68 344.93 335.35 329.21 331.26 321.06 310.65 300.82 303.80 301.63 293.91 299.75 303.09 300.43 280.96 290.33 299.38 283.14 279.83 278.54 295.98 283.14 280.89 266.50 251.07 248.88 253.64 237.64 219.96 213.49 216.61 250.85 299.57 299.57 365.47 367.60 367.60 357.42 347.95
Total current liabilities + 79.61 88.90 82.28 110.39 72.87 75.26 88.27 124.97 88.40 99.01 92.07 142.98 105.89 108.57 108.01 131.81 93.12 108.25 84.55 85.00 78.53 78.24 59.15 65.11 61.10 72.71 70.32 77.05 52.64 50.02 51.43 59.17 72.57 88.82 82.36 87.70 66.87 72.79 83.44 80.05 41.63 49.49 44.47 43.49 44.44 49.20 45.44 49.68 49.24 48.20 52.27 57.62 37.30 40.03 45.88 53.25 42.06 42.91 41.25 58.94 46.72 45.44 45.35 40.52 35.71 35.25 24.19 20.89 11.99 12.85 26.83 45.29 45.29 58.38 36.10 36.10 42.44 37.06
Total non-current liabilities + 113.58 110.25 111.92 100.71 109.26 116.76 117.53 105.90 98.70 98.76 105.18 83.33 88.20 89.04 96.20 84.69 87.50 78.33 86.64 96.48 66.06 63.50 88.18 93.23 88.53 90.26 98.68 90.79 111.68 108.18 108.68 110.94 96.78 92.70 87.38 84.93 95.83 96.49 72.52 68.10 74.86 61.02 60.74 63.39 47.36 41.11 38.99 39.01 34.62 36.07 36.08 35.57 48.72 35.90 32.05 36.36 26.53 24.80 23.61 23.06 10.81 10.31 4.31 4.42 4.29 4.30 4.42 4.32 11.75 11.92 11.32 11.27 11.27 11.21 34.14 34.14 37.04 45.59
Total liabilities 193.20 199.14 194.20 211.10 182.13 192.02 205.80 230.87 187.10 197.78 197.25 226.31 194.08 197.60 204.20 216.51 180.62 186.58 171.19 181.49 144.59 141.74 147.33 158.34 149.64 162.97 169.00 167.84 164.32 158.20 160.11 170.11 169.35 181.51 169.74 172.62 162.70 169.28 155.96 148.15 116.49 110.50 105.21 106.87 91.80 90.31 84.43 88.69 83.85 84.27 88.35 93.19 86.02 75.94 81.53 89.61 68.59 67.71 64.86 82.00 57.53 55.75 49.67 44.94 40.00 39.54 28.61 25.21 23.74 24.76 38.14 56.56 56.56 69.60 70.24 70.24 79.49 82.64
Total stockholders' equity + 406.70 379.77 361.06 336.87 390.60 377.93 368.20 355.78 377.91 359.24 349.68 326.55 355.21 335.11 314.81 282.88 301.99 264.15 257.45 240.09 249.58 235.66 220.76 209.13 210.75 202.50 204.64 201.66 209.36 203.93 212.06 210.17 216.01 208.66 213.39 212.26 215.73 212.78 217.39 217.65 226.47 222.83 222.02 220.67 225.43 216.49 212.55 210.97 213.45 205.32 206.90 205.24 209.72 202.45 205.91 205.93 210.39 207.74 209.08 208.47 219.95 219.34 216.05 205.65 207.83 213.60 204.36 190.24 183.46 184.85 206.47 236.48 236.48 290.01 291.12 291.12 271.48 258.95
Common shares outstanding 2,497 2,497 2,516 2,516 2,516 2,496 2,512 2,506 2,516 2,506 2,513 2,505 2,519 2,501 2,497 2,511 2,507 2,441 2,482 2,477 2,476 2,422 2,436 2,453 2,618 2,342 2,610 2,616 2,648 2,411 2,671 2,654 2,691 2,442 2,688 2,677 2,684 2,442 2,680 2,692 2,498 2,505 2,739 2,645 2,532 2,498 2,517 2,522 2,632 2,492 2,660 2,647 2,679 2,526 2,672 2,689 2,683 2,523 2,523 2,503 2,562 2,503 2,503 2,528 2,567 2,528 2,528 2,553 2,553 2,553 2,499 2,524 2,684 3,030 3,120 2,684 2,655 2,661 2,661 2,773 2,661
about 11 hours ago
Ask a follow up
Dec-25 Dec-24 Dec-23 Dec-22 Dec-21 Dec-20 Dec-19 Dec-18 Dec-17 Dec-16 Dec-15 Dec-14 Dec-13 Dec-12 Dec-11 Dec-10 Dec-09 Dec-08 Dec-07 Dec-06
Operating cash flow + 100.41 93.87 86.00 145.86 90.35 65.75 54.90 50.93 52.47 46.45 60.04 44.79 43.47 40.54 41.65 53.56 32.43 45.29 48.08 47.07
Cash flow from investing + -53.45 -85.94 -97.79 -54.43 -62.16 -40.11 -31.68 -15.50 -35.42 -80.09 -68.74 -42.61 -31.52 -49.15 -55.12 -57.84 -19.22 -11.43 -21.80 -16.51
Cash flow from financing + -39.42 -39.20 -29.09 -57.25 12.49 -25.60 -9.87 -33.48 9.16 38.80 15.05 -8.26 -3.92 3.59 9.92 -10.17 4.94 -34.41 -72.70 -45.05
Change in cash 7.55 -31.27 -40.87 34.18 40.68 0.03 13.36 1.95 26.22 5.16 6.36 -6.08 8.03 -5.03 -3.54 -14.46 18.15 -0.55 -46.42 -14.49
Change in exchange rate 0.00 0.00 0.00 0.00 0.00
Show Quarterly Cash Flow
Mar-26 Dec-25 Sep-25 Jun-25 Mar-25 Dec-24 Sep-24 Jun-24 Mar-24 Dec-23 Sep-23 Jun-23 Mar-23 Dec-22 Sep-22 Jun-22 Mar-22 Dec-21 Sep-21 Jun-21 Mar-21 Dec-20 Sep-20 Jun-20 Mar-20 Dec-19 Sep-19 Jun-19 Mar-19 Dec-18 Sep-18 Jun-18 Mar-18 Dec-17 Sep-17 Jun-17 Mar-17 Dec-16 Sep-16 Jun-16 Mar-16 Dec-15 Sep-15 Jun-15 Mar-15 Dec-14 Sep-14 Jun-14 Mar-14 Dec-13 Sep-13 Jun-13 Mar-13 Dec-12 Sep-12 Jun-12 Mar-12 Dec-11 Sep-11 Jun-11 Mar-11 Dec-10 Sep-10 Jun-10 Mar-10 Dec-09 Sep-09 Jun-09 Mar-09 Dec-08 Sep-08 Jun-08 Mar-08 Dec-07 Jun-07 Dec-06 Jun-06 Dec-05 Jun-05 Dec-04 Dec-03
Operating cash flow + 21.98 32.77 20.94 22.10 23.83 32.98 17.35 22.73 20.82 28.47 19.06 13.76 26.96 40.96 39.70 35.09 30.12 26.82 22.13 23.12 18.28 16.07 18.54 16.40 14.73 37.53 -3.08 12.27 8.18 12.12 15.77 14.26 8.78 12.90 11.45 14.82 13.31 15.55 13.89 5.57 11.45 15.43 16.29 11.46 16.87 18.84 12.04 7.68 6.23 10.91 13.14 9.57 9.86 12.26 9.21 9.79 10.68 10.68 9.89 9.38 11.70 14.98 15.88 11.95 10.75 13.57 13.23 2.95 2.68 11.28 15.05 8.56 10.41 1.48 0.54 1.44 0.75 1.40 0.58 2.33 1.46
Cash flow from investing + -21.35 -16.96 -16.15 -9.44 -10.51 -16.97 -23.93 -15.13 -29.91 -26.81 -17.72 -23.67 -29.59 -54.43 -21.42 -11.72 14.75 -13.34 -23.22 -18.48 -7.12 -17.44 -5.69 -7.88 -9.11 -17.84 -3.97 -4.19 -5.68 -4.61 -5.48 -6.08 0.67 -6.03 -4.98 -8.11 -16.29 -18.32 -15.40 -27.06 -19.30 -17.06 -20.42 -14.76 -16.50 -16.79 -12.68 -7.03 -6.10 -7.74 -10.72 -7.81 -5.25 -11.20 -9.48 -18.60 -14.85 -14.85 -11.32 -11.82 -17.13 -19.57 -19.40 -9.28 -9.59 -11.86 -4.43 -1.27 -1.66 -2.31 -1.71 -2.28 -5.13
Cash flow from financing + -3.69 -11.30 -15.16 1.15 -13.78 -14.31 -12.75 -5.71 -6.44 -3.89 -27.60 1.06 1.35 -9.19 -26.69 -13.42 -7.96 6.37 -9.69 13.24 2.58 -3.15 -13.65 -2.95 -5.85 -9.72 4.14 -6.47 2.18 -5.72 -3.25 -10.79 -13.71 5.21 -4.60 0.71 7.85 4.22 8.88 11.15 14.54 2.89 -9.82 13.82 8.15 0.43 -6.66 -4.42 2.39 -2.79 -4.47 -2.40 5.73 -0.69 -5.34 10.26 3.13 3.13 -10.68 13.71 3.75 3.41 -2.92 -6.22 -4.44 7.21 0.10 0.07 -2.44 0.23 -12.30 -10.52 -11.81 0.52
Change in cash -3.05 4.51 -10.37 13.81 -0.46 1.70 -19.33 1.89 -15.53 -2.23 -26.26 -8.85 -1.27 -22.66 -8.41 9.95 36.91 19.85 -10.79 17.88 13.74 -4.52 -0.80 5.58 -0.23 9.97 -2.91 1.61 4.68 1.79 7.04 -2.61 -4.27 12.08 1.86 7.42 4.86 1.45 7.37 -10.34 6.68 1.26 -13.95 10.53 8.53 2.48 -7.30 -3.77 2.53 0.39 -2.05 -0.64 10.34 0.37 -5.61 1.46 -1.03 -1.03 -12.10 11.27 -1.68 -1.18 -6.44 -3.55 -3.29 8.92 8.89 1.76 -1.41 9.20 1.03 -4.25 -6.53 1.48 0.54 1.44 0.75 1.40 0.58 2.33 1.98
Change in exchange rate 0.00 0.00 0.00 0.00 0.00 0.00
about 11 hours ago
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