av/poste-italiane--big.svg

MIL:PST

Poste Italiane S.p.A.

  • Stock

EUR

Last Close

12.17

26/07 15:35

Market Cap

15.72B

Beta: 0.98

Volume Today

960.58K

Avg: 2.48M

PE Ratio

8.17

PFCF: 17.32

Dividend Yield

6.72%

Payout:53%

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
1.53B
-
696.72M
54.42%
933M
33.91%
1.06B
13.18%
1.07B
1.04%
1.49B
39.64%
1.87B
25.64%
1.58B
15.81%
2.17B
37.56%
2.33B
7.38%
1.92B
17.44%
depreciation and amortization
588.64M
-
670.77M
13.95%
569M
15.17%
581M
2.11%
545M
6.20%
537M
1.47%
774M
44.13%
700M
9.56%
790M
12.86%
836M
5.82%
deferred income tax
-12M
-
-6M
50%
-12M
100%
-9M
25%
stock based compensation
12M
-
6M
50%
12M
100%
9M
25%
change in working capital
11.45B
-
11.33B
1.02%
8.72B
23.01%
14.76B
69.17%
9.38B
36.45%
4.59B
51.01%
14.24B
209.86%
19.52B
37.08%
6.21B
68.16%
-6.20B
199.79%
accounts receivables
-40M
-
-262M
555%
-710M
170.99%
272M
138.31%
inventory
-595K
-
6.49M
1,191.26%
5M
22.99%
-3M
160%
-1M
66.67%
-2M
100%
-4M
100%
-26M
550%
11M
142.31%
2M
81.82%
accounts payables
43M
-
209M
386.05%
129M
38.28%
91M
29.46%
other working capital
11.45B
-
11.33B
1.08%
8.72B
23.01%
14.76B
69.30%
9.38B
36.46%
4.60B
51.00%
14.24B
209.75%
19.60B
37.62%
6.78B
65.38%
-6.57B
196.79%
other non cash items
-14.32B
-
-12.78B
10.79%
-7.66B
40.02%
-14.14B
84.49%
-11.70B
17.24%
-4.03B
65.60%
-15.76B
291.65%
-19.88B
26.08%
-4.99B
74.90%
3.22B
164.49%
-1.92B
159.75%
net cash provided by operating activities
-758.19M
-
-78.89M
89.59%
2.56B
3,348.79%
2.26B
11.90%
-709M
131.40%
2.60B
466.29%
1.12B
56.87%
1.92B
71.16%
4.18B
118.26%
180M
95.70%
investments in property plant and equipment
-504.50M
-
-437.10M
13.36%
-488M
11.64%
-451M
7.58%
-466M
3.33%
-538M
15.45%
-733M
36.25%
-679M
7.37%
-754M
11.05%
-810M
7.43%
acquisitions net
-239.78M
-
-209.31M
12.71%
-247M
18.01%
230M
193.12%
131M
43.04%
278M
112.21%
342M
23.02%
379M
10.82%
-40M
110.55%
-678M
1,595%
purchases of investments
-231.35M
-
-100.26M
56.66%
-211M
110.44%
-101M
52.13%
-228M
125.74%
-30M
86.84%
-32M
6.67%
-36M
12.50%
-54M
50%
-135M
150%
sales maturities of investments
11.34M
-
166.34M
1,366.86%
4M
97.60%
103M
2,475%
296M
187.38%
285M
3.72%
30M
89.47%
109M
263.33%
423M
288.07%
12M
97.16%
other investing activites
244.74M
-
233.16M
4.73%
253M
8.51%
-225M
188.93%
4M
101.78%
-276M
7,000%
-339M
22.83%
-374M
10.32%
3M
100.80%
5M
66.67%
net cash used for investing activites
-719.56M
-
-347.17M
51.75%
-689M
98.46%
-444M
35.56%
-263M
40.77%
-281M
6.84%
-732M
160.50%
-601M
17.90%
-422M
29.78%
-1.61B
280.57%
debt repayment
-620M
-
-1.66B
168.23%
-341M
79.49%
-723M
112.02%
common stock issued
660M
-
748M
-
common stock repurchased
-40M
-
-25M
-
dividends paid
-250M
-
-500M
100%
-250M
50%
-444M
77.60%
-509M
14.64%
-549M
7.86%
-774M
40.98%
-613M
20.80%
-662M
7.99%
-801M
21.00%
other financing activites
639.76M
-
1.18B
85.14%
-186M
115.70%
-520M
179.57%
6M
101.15%
-1B
16,766.67%
-660M
34%
3.33B
604.09%
682M
79.50%
-748M
209.68%
net cash used provided by financing activities
389.76M
-
684.49M
75.62%
-436M
163.70%
-964M
121.10%
-503M
47.82%
-1.55B
207.95%
-1.43B
7.42%
1.05B
173.29%
-321M
130.54%
-1.55B
382.55%
effect of forex changes on cash
-90M
-
1M
101.11%
1M
-
net change in cash
-1.09B
-
258.43M
123.75%
1.44B
456.43%
760M
47.15%
-1.47B
293.95%
767M
152.04%
-1.05B
236.38%
2.37B
326.29%
3.44B
45.42%
-2.98B
186.43%
cash at beginning of period
2.53B
-
1.45B
42.95%
1.70B
17.90%
3.14B
84.39%
3.90B
24.19%
2.43B
37.78%
3.19B
31.59%
2.15B
32.74%
4.52B
110.14%
7.96B
76.22%
4.98B
37.38%
cash at end of period
1.45B
-
1.70B
17.88%
3.14B
84.42%
3.90B
24.19%
2.43B
37.78%
3.19B
31.59%
2.15B
32.74%
4.52B
110.14%
7.96B
76.22%
4.98B
37.38%
4.98B
0%
operating cash flow
-758.19M
-
-78.89M
89.59%
2.56B
3,348.79%
2.26B
11.90%
-709M
131.40%
2.60B
466.29%
1.12B
56.87%
1.92B
71.16%
4.18B
118.26%
180M
95.70%
capital expenditure
-504.50M
-
-437.10M
13.36%
-488M
11.64%
-451M
7.58%
-466M
3.33%
-538M
15.45%
-733M
36.25%
-679M
7.37%
-754M
11.05%
-810M
7.43%
free cash flow
-1.26B
-
-515.99M
59.14%
2.08B
502.14%
1.81B
12.92%
-1.18B
165.02%
2.06B
275.23%
387M
81.20%
1.24B
219.90%
3.43B
177.06%
-630M
118.37%

All numbers in EUR (except ratios and percentages)