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COM:FAURECIA

FORVIA

  • Stock

Last Close

21.27

02/06 15:36

Market Cap

4.19B

Beta: -

Volume Today

1.39M

Avg: -

Preview

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Dec '13
Dec '14
Dec '15
Dec '16
Dec '17
Dec '18
Dec '19
Dec '20
Dec '21
Dec '22
Dec '23
net income
538.30M
-
673.30M
25.08%
830M
23.27%
970.20M
16.89%
1.17B
20.62%
1.27B
8.85%
1.28B
0.74%
406.20M
68.35%
861.70M
112.14%
1.11B
29.38%
1.44B
29.07%
depreciation and amortization
532M
-
555.60M
4.44%
611.80M
10.12%
669.10M
9.37%
719M
7.46%
866.70M
20.54%
1.12B
28.87%
1.26B
12.57%
1.27B
0.80%
1.89B
49.11%
1.89B
0.04%
deferred income tax
stock based compensation
change in working capital
364.40M
-
263.20M
27.77%
153M
41.87%
162.50M
6.21%
213M
31.08%
18.90M
91.13%
109.30M
478.31%
-57.40M
152.52%
53M
192.33%
557.20M
951.32%
659M
18.27%
accounts receivables
207.60M
-
inventory
-79.40M
-
77.90M
198.11%
-112.30M
244.16%
-151M
34.46%
-185.30M
22.72%
-29M
84.35%
-27M
6.90%
-137.70M
410.00%
-203M
47.42%
-176.20M
13.20%
-135.10M
23.33%
accounts payables
444.20M
-
other working capital
443.80M
-
185.30M
58.25%
265.30M
43.17%
313.50M
18.17%
398.30M
27.05%
47.90M
87.97%
136.30M
184.55%
80.30M
41.09%
256M
218.80%
733.40M
186.48%
142.30M
80.60%
other non cash items
-507.30M
-
-454.70M
10.37%
-345.60M
23.99%
-505.10M
46.15%
-489.70M
3.05%
-516.90M
5.55%
-726.70M
40.59%
-500.40M
31.14%
-790.10M
57.89%
-1.10B
38.88%
-3.34B
204.20%
net cash provided by operating activities
927.40M
-
1.04B
11.86%
1.25B
20.42%
1.30B
3.80%
1.61B
24.36%
1.64B
1.86%
1.78B
8.54%
1.11B
37.98%
1.39B
25.89%
2.46B
77.05%
649M
73.67%
investments in property plant and equipment
-787.60M
-
-842.60M
6.98%
-931.60M
10.56%
-1.04B
12.16%
-1.21B
15.56%
-1.27B
4.84%
-1.37B
7.93%
-1.10B
19.63%
-1.20B
9.23%
-2.14B
78.63%
-2.18B
1.89%
acquisitions net
269.60M
-
323.40M
19.96%
310.80M
3.90%
407.30M
31.05%
469.30M
15.22%
593.30M
26.42%
-638M
-
350.20M
-
purchases of investments
-12.30M
-
-33.30M
170.73%
-30.90M
7.21%
532.50M
1,823.30%
-218M
140.94%
-174.50M
19.95%
-1.13B
547.74%
-290.90M
74.26%
-66.10M
77.28%
-4.89B
7,291.07%
sales maturities of investments
-2.10M
-
7.60M
461.90%
36.80M
384.21%
55.90M
51.90%
6.30M
88.73%
26.60M
322.22%
37.30M
-
126.30M
238.61%
325.90M
158.04%
other investing activites
-290.50M
-
-325.10M
11.91%
-387.80M
19.29%
-434.70M
12.09%
-498.30M
14.63%
-535.50M
7.47%
224.10M
141.85%
26.40M
88.22%
584.80M
2,115.15%
651.30M
11.37%
333.50M
48.79%
net cash used for investing activites
-822.90M
-
-870M
5.72%
-1.00B
15.25%
-483.90M
51.74%
-1.45B
199.28%
-1.36B
6.36%
-2.27B
67.58%
-1.36B
40.04%
-1.28B
5.95%
-6.25B
387.73%
-1.50B
76.01%
debt repayment
-398.40M
-
-138.40M
65.26%
-1.20B
763.44%
-720.70M
39.69%
-108.60M
84.93%
-163.30M
50.37%
-135.90M
16.78%
-1.73B
1,176.16%
-479.40M
72.36%
-2.54B
429.79%
-131M
94.84%
common stock issued
11M
-
5.40M
50.91%
29.10M
438.89%
3.20M
89.00%
24.30M
659.38%
15.50M
36.21%
2.70M
82.58%
6.20M
129.63%
101.70M
1,540.32%
1.22B
1,096.46%
2.80M
99.77%
common stock repurchased
-40.10M
-
-47.80M
19.20%
-29.40M
38.49%
-127.50M
-
-1.10M
99.14%
dividends paid
-7.20M
-
-12.80M
77.78%
-88.80M
593.75%
-122.60M
38.06%
-150.90M
23.08%
-170.20M
12.79%
-134.80M
-
other financing activites
425.10M
-
246.40M
42.04%
830.40M
237.01%
625.40M
24.69%
131.50M
78.97%
622.70M
373.54%
1.03B
65.73%
2.85B
176.50%
2.24B
21.58%
4.44B
98.59%
-702.80M
115.81%
net cash used provided by financing activities
37.70M
-
106.20M
181.70%
-348.30M
427.97%
-180.90M
48.06%
-115.50M
36.15%
276.20M
339.13%
699.20M
153.15%
1.13B
60.96%
1.60B
41.98%
3.12B
95.26%
-831M
126.64%
effect of forex changes on cash
-27.70M
-
41.50M
249.82%
20.70M
50.12%
-4.80M
123.19%
-48.10M
902.08%
-20.50M
57.38%
4.60M
122.44%
-96.30M
2,193.48%
106.20M
210.28%
-38.40M
136.16%
3.68B
9,684.64%
net change in cash
73.80M
-
315.10M
326.96%
-84.40M
126.79%
629.70M
846.09%
800K
99.87%
542.30M
67,687.50%
214.10M
60.52%
772M
260.58%
1.82B
135.73%
-704.60M
138.72%
2.00B
383.69%
cash at beginning of period
628M
-
701.80M
11.75%
1.02B
44.90%
932.50M
8.30%
1.56B
67.53%
1.56B
0.05%
2.11B
34.70%
2.32B
10.17%
3.09B
33.05%
4.91B
58.97%
4.20B
14.36%
cash at end of period
701.80M
-
1.02B
44.90%
932.50M
8.30%
1.56B
67.53%
1.56B
0.05%
2.11B
34.70%
2.32B
10.17%
3.09B
33.28%
4.91B
58.69%
4.20B
14.36%
6.20B
47.58%
operating cash flow
927.40M
-
1.04B
11.86%
1.25B
20.42%
1.30B
3.80%
1.61B
24.36%
1.64B
1.86%
1.78B
8.54%
1.11B
37.98%
1.39B
25.89%
2.46B
77.05%
649M
73.67%
capital expenditure
-787.60M
-
-842.60M
6.98%
-931.60M
10.56%
-1.04B
12.16%
-1.21B
15.56%
-1.27B
4.84%
-1.37B
7.93%
-1.10B
19.63%
-1.20B
9.23%
-2.14B
78.63%
-2.18B
1.89%
free cash flow
139.80M
-
194.80M
39.34%
317.60M
63.04%
251.80M
20.72%
405.10M
60.88%
376.60M
7.04%
416.40M
10.57%
7.50M
98.20%
192.40M
2,465.33%
321.80M
67.26%
-1.53B
576.79%

All numbers in (except ratios and percentages)