av/vetoquinol--big.svg

EURONEXT:VETO

Vetoquinol

  • Stock

EUR

Last Close

79.80

08/11 16:35

Market Cap

1.14B

Beta: 0.83

Volume Today

1.94K

Avg: 3.08K

PE Ratio

25.79

PFCF: 30.67

Dividend Yield

0.76%

Payout:19.72%

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 '13
Dec '14
Dec '15
Dec '16
Dec '17
Dec '18
Dec '19
Dec '20
Dec '21
Dec '22
Dec '23
net income
23.58M
-
25.77M
9.27%
24.16M
6.25%
27.83M
15.20%
34.83M
25.17%
36.26M
4.10%
28.59M
21.15%
19.22M
32.77%
62.86M
227.04%
47.99M
23.65%
depreciation and amortization
10.87M
-
12.23M
12.56%
12.56M
2.68%
13.45M
7.06%
11.45M
14.89%
11.74M
2.60%
17.61M
49.90%
25.88M
47.00%
32.87M
27.02%
31.55M
4.02%
deferred income tax
6.37M
-
-2.42M
138.02%
-3.97M
-
-298K
92.49%
830K
378.52%
-30.38M
3,759.88%
-3.04M
90.01%
664K
121.87%
stock based compensation
11K
-
3K
72.73%
200K
-
58K
71%
-1.55M
2,775.86%
115K
107.41%
245K
113.04%
72K
70.61%
change in working capital
-6.38M
-
2.42M
137.91%
-1.29M
153.50%
-1.78M
37.74%
1.26M
170.63%
-10.91M
967.17%
722K
106.62%
21.43M
2,868.84%
-3.64M
116.97%
-21.40M
488.26%
accounts receivables
-2.04M
-
4.21M
307.02%
2.96M
29.73%
inventory
-12.70M
-
-22.56M
77.63%
-3.94M
82.55%
accounts payables
36.23M
-
16.44M
54.62%
18.82M
14.43%
other working capital
-63K
-
-1.74M
2,653.97%
-39.24M
2,161.67%
other non cash items
22K
-
878K
3,890.91%
3.47M
295.44%
3.71M
6.85%
-2.54M
168.60%
1.03M
140.43%
5.83M
466.47%
55.74M
856.22%
-136K
100.24%
3.51M
2,682.35%
net cash provided by operating activities
28.11M
-
41.30M
46.94%
38.90M
5.81%
43.20M
11.08%
41.23M
4.58%
37.88M
8.10%
52.02M
37.32%
92.01M
76.86%
89.17M
3.09%
62.39M
30.03%
investments in property plant and equipment
-6.47M
-
-10.24M
58.17%
-11.02M
7.61%
-9.44M
14.31%
-11.08M
17.39%
-11.28M
1.75%
-9.45M
16.23%
-145.46M
1,439.92%
-32.40M
77.72%
-22.50M
30.57%
acquisitions net
-165K
-
-41.42M
25,002.42%
-2.14M
94.84%
720K
133.71%
-854K
218.61%
-3.45M
303.63%
-50.12M
1,354.11%
180K
100.36%
-968K
637.78%
1.48M
253.20%
purchases of investments
-544K
-
-1.16M
112.50%
-85K
92.65%
-88K
3.53%
134.80M
153,286.36%
-74K
100.05%
-504K
581.08%
sales maturities of investments
-176K
-
32K
118.18%
3.53M
10,937.50%
50.21M
1,321.60%
141K
99.72%
19.63M
13,818.44%
4.55M
76.83%
other investing activites
-1.05M
-
-588K
44.11%
-2.11M
258.33%
-4.16M
97.20%
-2.62M
36.87%
-6.47M
146.85%
-55.10M
750.98%
-134.80M
144.65%
-19.63M
85.44%
-4.55M
76.83%
net cash used for investing activites
-7.69M
-
-52.24M
579.46%
-15.26M
70.79%
-13.42M
12.06%
-15.68M
16.87%
-17.75M
13.19%
-64.55M
263.62%
-145.14M
124.86%
-33.45M
76.96%
-21.52M
35.66%
debt repayment
-10.57M
-
-11.45M
8.32%
-19.61M
71.30%
-8.70M
55.62%
-8.67M
0.36%
-8.67M
0.01%
-8.82M
1.66%
-111.98M
1,170.21%
-109.03M
2.63%
-217K
99.80%
common stock issued
15K
-
938K
6,153.33%
9.09M
-
9.65M
-
9.34M
3.23%
-5.04M
153.97%
common stock repurchased
10.55M
-
10.51M
0.42%
-386K
-
-977K
-
-521K
46.67%
-243K
53.36%
dividends paid
-4.14M
-
-4.38M
5.90%
-4.63M
5.57%
-4.86M
5.04%
-5.10M
4.90%
-5.46M
7.00%
-5.68M
4.11%
-4.49M
20.87%
-5.91M
31.60%
-9.46M
60.04%
other financing activites
671K
-
42.11M
6,175.41%
1.22M
97.10%
203K
83.40%
-800K
494.09%
-9.74M
1,117.50%
-14.44M
48.23%
223.96M
1,651.21%
-5.36M
102.39%
-5.92M
10.45%
net cash used provided by financing activities
-14.02M
-
27.22M
294.11%
-23.01M
184.56%
-13.74M
40.27%
-14.57M
5.99%
-15.20M
4.30%
-20.12M
32.39%
102.20M
608.05%
-120.31M
217.71%
-15.60M
87.03%
effect of forex changes on cash
-1.46M
-
993K
168.06%
253K
74.52%
187K
26.09%
-1.25M
766.31%
-360K
71.11%
-1.35M
276.39%
-3.32M
145.31%
3.36M
201.02%
205K
93.90%
net change in cash
4.94M
-
17.26M
249.67%
877K
94.92%
16.23M
1,750.51%
9.73M
40.06%
4.58M
52.92%
-33.99M
842.41%
44.93M
232.17%
-60.44M
234.52%
24.71M
140.88%
cash at beginning of period
63.96M
-
68.90M
7.72%
86.16M
25.05%
87.04M
1.02%
103.27M
18.65%
113.00M
9.42%
117.58M
4.05%
84.51M
28.12%
129.44M
53.16%
69.00M
46.69%
93.71M
35.81%
cash at end of period
68.90M
-
86.16M
25.05%
87.04M
1.02%
103.27M
18.65%
113.00M
9.42%
117.58M
4.05%
83.58M
28.91%
129.44M
54.87%
69.00M
46.69%
93.71M
35.81%
93.71M
0%
operating cash flow
28.11M
-
41.30M
46.94%
38.90M
5.81%
43.20M
11.08%
41.23M
4.58%
37.88M
8.10%
52.02M
37.32%
92.01M
76.86%
89.17M
3.09%
62.39M
30.03%
capital expenditure
-6.47M
-
-10.24M
58.17%
-11.02M
7.61%
-9.44M
14.31%
-11.08M
17.39%
-11.28M
1.75%
-9.45M
16.23%
-145.46M
1,439.92%
-32.40M
77.72%
-22.50M
30.57%
free cash flow
21.63M
-
31.06M
43.57%
27.88M
10.24%
33.77M
21.10%
30.14M
10.73%
26.61M
11.73%
42.58M
60.02%
-53.45M
225.53%
56.76M
206.20%
39.90M
29.72%

All numbers in EUR (except ratios and percentages)