bf/NYSE:SPOT_icon.jpeg

COM:SPOTIFY

Spotify Technology S.A.

  • Stock

USD

Last Close

470.70

22/11 21:00

Market Cap

59.51B

Beta: -

Volume Today

2.29M

Avg: -

Preview

Full access to financials is available to subscribers only. Please support our work and get full access to all features. You can cancel anytime. If you'd like a demo, free trial or have any questions, please checkout the help page

Subscribe NowHelp
Dec '15
Dec '16
Dec '17
Dec '18
Dec '19
Dec '20
Dec '21
Dec '22
Dec '23
net income
-230M
-
-539M
134.35%
-1.24B
129.13%
-78M
93.68%
-186M
138.46%
-581M
212.37%
-34M
94.15%
-430M
1,164.71%
-532M
23.72%
depreciation and amortization
30M
-
38M
26.67%
54M
42.11%
32M
40.74%
87M
171.88%
111M
27.59%
127M
14.41%
171M
34.65%
158M
7.60%
deferred income tax
5M
-
4M
20%
2M
50%
-95M
4,850%
55M
157.89%
-128M
332.73%
283M
321.09%
60M
78.80%
27M
55.00%
stock based compensation
28M
-
53M
89.29%
65M
22.64%
88M
35.38%
122M
38.64%
176M
44.26%
223M
26.70%
381M
70.85%
321M
15.75%
change in working capital
175M
-
300M
71.43%
420M
40%
251M
40.24%
451M
79.68%
317M
29.71%
-36M
111.36%
191M
630.56%
464M
142.93%
accounts receivables
-121M
-
-60M
50.41%
-112M
86.67%
-61M
45.54%
-27M
55.74%
-187M
592.59%
-245M
31.02%
-84M
65.71%
-145M
72.62%
inventory
accounts payables
251M
-
245M
2.39%
447M
82.45%
291M
34.90%
454M
56.01%
425M
6.39%
137M
67.76%
226M
64.96%
501M
121.68%
other working capital
45M
-
115M
155.56%
85M
26.09%
21M
75.29%
24M
14.29%
79M
229.17%
72M
8.86%
49M
31.94%
108M
120.41%
other non cash items
-46M
-
245M
632.61%
873M
256.33%
146M
83.28%
44M
69.86%
364M
727.27%
-202M
155.49%
-327M
61.88%
242M
174.01%
net cash provided by operating activities
-38M
-
101M
365.79%
179M
77.23%
344M
92.18%
573M
66.57%
259M
54.80%
361M
39.38%
46M
87.26%
680M
1,378.26%
investments in property plant and equipment
-49M
-
-27M
44.90%
-46M
70.37%
-125M
171.74%
-135M
8%
-78M
42.22%
-85M
8.97%
-25M
70.59%
-6M
76%
acquisitions net
-8M
-
-49M
-
-331M
-
-336M
1.51%
-115M
65.77%
-306M
166.09%
-7M
97.71%
purchases of investments
-1.40B
-
-1.39B
0.79%
-1.07B
22.87%
-901M
15.72%
-1.35B
50.28%
-497M
63.29%
-457M
8.05%
-1.59B
247.92%
sales maturities of investments
609M
-
1.08B
77.34%
1.23B
13.52%
1.16B
5.14%
1.42B
22.18%
519M
63.48%
368M
29.09%
1.38B
274.73%
other investing activites
-10M
-
-12M
20%
-34M
183.33%
-54M
58.82%
-14M
74.07%
-25M
78.57%
-9M
64%
-3M
66.67%
7M
333.33%
net cash used for investing activites
-67M
-
-827M
1,134.33%
-435M
47.40%
-22M
94.94%
-218M
890.91%
-372M
70.64%
-187M
49.73%
-423M
126.20%
-217M
48.70%
debt repayment
-4M
-
-4M
-
-17M
-
-24M
41.18%
-35M
45.83%
-43M
22.86%
-66M
53.49%
common stock issued
474M
-
242.30M
-
297.21M
22.66%
205.90M
30.72%
42.23M
79.49%
358.50M
749.01%
common stock repurchased
-72M
-
-438M
508.33%
-30M
93.15%
-89M
196.67%
-2M
97.75%
dividends paid
-242.30M
-
-30M
87.62%
-205.90M
586.33%
-42.23M
79.49%
other financing activites
6M
-
916M
15,166.67%
38M
95.85%
164M
331.58%
252M
53.66%
71.79M
71.51%
1.37B
1,813.93%
5M
99.64%
-58.50M
1,269.96%
net cash used provided by financing activities
476M
-
916M
92.44%
34M
96.29%
92M
170.59%
-203M
320.65%
285M
240.39%
1.25B
338.60%
-40M
103.20%
234M
685%
effect of forex changes on cash
20M
-
-32M
260%
-56M
75%
22M
-
-86M
490.91%
169M
296.51%
156M
7.69%
-66M
142.31%
net change in cash
391M
-
158M
59.59%
-278M
275.95%
414M
248.92%
174M
57.97%
86M
50.57%
1.59B
1,752.33%
-261M
116.38%
631M
341.76%
cash at beginning of period
206M
-
597M
189.81%
755M
26.47%
477M
36.82%
891M
86.79%
1.06B
19.53%
1.15B
8.08%
2.74B
138.40%
2.48B
9.51%
cash at end of period
597M
-
755M
26.47%
477M
36.82%
891M
86.79%
1.06B
19.53%
1.15B
8.08%
2.74B
138.40%
2.48B
9.51%
3.11B
25.41%
operating cash flow
-38M
-
101M
365.79%
179M
77.23%
344M
92.18%
573M
66.57%
259M
54.80%
361M
39.38%
46M
87.26%
680M
1,378.26%
capital expenditure
-49M
-
-27M
44.90%
-46M
70.37%
-125M
171.74%
-135M
8%
-78M
42.22%
-85M
8.97%
-25M
70.59%
-6M
76%
free cash flow
-87M
-
74M
185.06%
133M
79.73%
219M
64.66%
438M
100%
181M
58.68%
276M
52.49%
21M
92.39%
674M
3,109.52%

All numbers in USD (except ratios and percentages)