bf/NYSE:NVT_icon.jpeg

NYSE:NVT

nVent Electric plc

  • Stock

USD

Last Close

80.41

17/05 20:00

Market Cap

9.77B

Beta: 1.31

Volume Today

1.60M

Avg: 1.12M

PE Ratio

22.35

PFCF: 24.93

Dividend Yield

1.13%

Payout:24.82%

Dec '15
Dec '16
Dec '17
Dec '18
Dec '19
Dec '20
Dec '21
Dec '22
Dec '23
net income
210.10M
-
259.10M
23.32%
361.70M
39.60%
230.80M
36.19%
222.70M
3.51%
-47.20M
121.19%
272.90M
678.18%
399.80M
46.50%
567.10M
41.85%
depreciation and amortization
62.90M
-
95.20M
51.35%
97.90M
2.84%
97.10M
0.82%
96.80M
0.31%
102.60M
5.99%
108.40M
5.65%
114.20M
5.35%
141.40M
23.82%
deferred income tax
-14.60M
-
-1.70M
88.36%
-158M
9,194.12%
-23.60M
85.06%
-24.60M
4.24%
-2.90M
88.21%
-18.80M
548.28%
-13.60M
27.66%
-178.60M
1,213.24%
stock based compensation
13.30M
-
13.40M
0.75%
14.60M
8.96%
12.80M
12.33%
16.10M
25.78%
13.90M
13.66%
16.60M
19.42%
25M
50.60%
23.50M
6%
change in working capital
69.70M
-
-38.40M
155.09%
69.50M
280.99%
18.20M
73.81%
-5.40M
129.67%
46.70M
964.81%
-5M
110.71%
-63.90M
1,178%
-32.60M
48.98%
accounts receivables
-18.10M
-
-43.30M
139.23%
8.70M
120.09%
33.50M
285.06%
19.90M
40.60%
51.30M
157.79%
-52.50M
202.34%
-45.90M
12.57%
-21.30M
53.59%
inventory
41.90M
-
400K
99.05%
-8.90M
2,325%
-12M
34.83%
900K
107.50%
18.30M
1,933.33%
-74M
504.37%
-34.70M
53.11%
20.10M
157.93%
accounts payables
400K
-
15M
3,650%
17M
13.33%
13.40M
21.18%
-7.90M
158.96%
-18.60M
135.44%
73.70M
496.24%
-4.70M
106.38%
-2.10M
55.32%
other working capital
45.50M
-
-10.50M
123.08%
52.70M
601.90%
-16.70M
131.69%
-18.30M
9.58%
-4.30M
76.50%
47.80M
1,211.63%
21.40M
55.23%
-29.30M
236.92%
other non cash items
2.50M
-
36.40M
1,356%
24M
34.07%
8.20M
65.83%
30.70M
274.39%
230.90M
652.12%
-800K
100.35%
-66.90M
8,262.50%
7.30M
110.91%
net cash provided by operating activities
343.90M
-
364M
5.84%
409.70M
12.55%
343.50M
16.16%
336.30M
2.10%
344M
2.29%
373.30M
8.52%
394.60M
5.71%
528.10M
33.83%
investments in property plant and equipment
-47.40M
-
-74.50M
57.17%
-31.80M
57.32%
-39.50M
24.21%
-38.80M
1.77%
-40M
3.09%
-39.50M
1.25%
-45.90M
16.20%
-71M
54.68%
acquisitions net
-1.91B
-
-13.60M
-
-2M
85.29%
-127.80M
6,290%
-27M
78.87%
-235.10M
770.74%
-8.60M
96.34%
-1.11B
12,837.21%
purchases of investments
sales maturities of investments
14.10M
-
other investing activites
600K
-
5.90M
883.33%
4.20M
28.81%
2.40M
42.86%
6.30M
162.50%
2M
68.25%
600K
70%
2M
233.33%
4.80M
140%
net cash used for investing activites
-1.96B
-
-68.60M
96.49%
-41.20M
39.94%
-39.10M
5.10%
-160.30M
309.97%
-65M
59.45%
-274M
321.54%
-52.50M
80.84%
-1.16B
2,118.48%
debt repayment
-52.50M
-
-14.10M
73.14%
-117.50M
733.33%
-333.90M
184.17%
-10M
97.01%
-687.70M
6,777%
common stock issued
8.60M
-
9.50M
10.47%
7.20M
24.21%
20M
177.78%
7.50M
62.50%
2.10M
72%
common stock repurchased
-56M
-
-235.70M
320.89%
-43.20M
81.67%
-111.50M
158.10%
-65.90M
40.90%
-60.80M
7.74%
dividends paid
-62.90M
-
-120.70M
91.89%
-119M
1.41%
-117.70M
1.09%
-117M
0.59%
-116.80M
0.17%
other financing activites
1.61B
-
-308.90M
119.14%
-359.50M
16.38%
-3.80M
98.94%
134.60M
3,642.11%
-153.50M
214.04%
376.30M
345.15%
103.30M
72.55%
1.38B
1,235.82%
net cash used provided by financing activities
1.61B
-
-308.90M
119.14%
-359.50M
16.38%
-166.60M
53.66%
-226.40M
35.89%
-272.50M
20.36%
-166.80M
38.79%
-82.10M
50.78%
516.70M
729.35%
effect of forex changes on cash
6.60M
-
12.30M
86.36%
-3.60M
129.27%
-5.70M
58.33%
-2.20M
61.40%
9.60M
536.36%
-5.50M
157.29%
-12M
118.18%
7.50M
162.50%
net change in cash
7.50M
-
-1.20M
116.00%
5.40M
550%
132.10M
2,346.30%
-52.60M
139.82%
16.10M
130.61%
-73M
553.42%
248M
439.73%
-112.40M
145.32%
cash at beginning of period
15.20M
-
22.70M
49.34%
21.50M
5.29%
26.90M
25.12%
159M
491.08%
106.40M
33.08%
122.50M
15.13%
49.50M
59.59%
297.50M
501.01%
cash at end of period
22.70M
-
21.50M
5.29%
26.90M
25.12%
159M
491.08%
106.40M
33.08%
122.50M
15.13%
49.50M
59.59%
297.50M
501.01%
185.10M
37.78%
operating cash flow
343.90M
-
364M
5.84%
409.70M
12.55%
343.50M
16.16%
336.30M
2.10%
344M
2.29%
373.30M
8.52%
394.60M
5.71%
528.10M
33.83%
capital expenditure
-47.40M
-
-74.50M
57.17%
-31.80M
57.32%
-39.50M
24.21%
-38.80M
1.77%
-40M
3.09%
-39.50M
1.25%
-45.90M
16.20%
-71M
54.68%
free cash flow
296.50M
-
289.50M
2.36%
377.90M
30.54%
304M
19.56%
297.50M
2.14%
304M
2.18%
333.80M
9.80%
348.70M
4.46%
457.10M
31.09%

All numbers in USD (except ratios and percentages)