av/prosiebensat-1-na-o-n--big.svg

SIX:PSM

ProSiebenSat.1 Media SE

  • Stock

CHF

Last Close

5.87

30/08 15:35

Market Cap

1.57B

Beta: 1.49

Volume Today

252.70K

Avg: -

PE Ratio

43.37

PFCF: −140.98

Dividend Yield

0.30%

Payout:12.79%

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
364.60M
-
381.50M
4.64%
395.90M
3.77%
452M
14.17%
481M
6.42%
250M
48.02%
412M
64.80%
252M
38.83%
442M
75.40%
-49M
111.09%
-124M
153.06%
depreciation and amortization
88.90M
-
123.80M
39.26%
151.10M
22.05%
206M
36.33%
263M
27.67%
222M
15.59%
260M
17.12%
248M
4.62%
251M
1.21%
430M
71.31%
190M
55.81%
deferred income tax
19M
-
35M
84.21%
-42M
220.00%
79M
288.10%
-82M
203.80%
stock based compensation
-19M
-
-35M
84.21%
42M
220.00%
-79M
288.10%
-380M
381.01%
change in working capital
-14.80M
-
-12.20M
17.57%
-12M
1.64%
-14M
16.67%
-88M
528.57%
-84M
4.55%
-40M
52.38%
-39M
2.50%
-18M
53.85%
-62M
244.44%
44M
170.97%
accounts receivables
inventory
accounts payables
other working capital
other non cash items
968.10M
-
951.20M
1.75%
983.80M
3.43%
933M
5.16%
965M
3.43%
1.07B
10.98%
971M
9.34%
1.05B
8.14%
864M
17.71%
1.03B
19.79%
1.59B
53.82%
net cash provided by operating activities
1.41B
-
1.44B
2.67%
1.52B
5.16%
1.58B
3.83%
1.62B
2.79%
1.46B
9.99%
1.60B
9.87%
1.51B
5.74%
1.54B
1.85%
1.35B
12.02%
1.24B
8.42%
investments in property plant and equipment
-954M
-
-988.90M
3.66%
-1.07B
7.84%
-1.15B
8.03%
-1.20B
4.51%
-1.23B
2.24%
-1.28B
4.39%
-1.30B
0.93%
-1.28B
1.46%
-1.11B
12.99%
-219M
80.31%
acquisitions net
-58.30M
-
-125.70M
115.61%
-430.20M
242.24%
-431M
0.19%
276M
164.04%
-296M
207.25%
-95M
67.91%
-92M
3.16%
38M
141.30%
145M
281.58%
11M
92.41%
purchases of investments
-18.20M
-
-47.80M
162.64%
-41.70M
12.76%
-90M
115.83%
-28M
68.89%
-44M
57.14%
-75M
70.45%
-81M
8%
-83M
2.47%
-21M
74.70%
-7M
66.67%
sales maturities of investments
954M
-
988.90M
3.66%
1.07B
7.84%
1.15B
8.03%
1.20B
4.51%
1.23B
2.24%
1.28B
4.39%
1.30B
0.93%
1.28B
1.46%
other investing activites
240.10M
-
-1.00B
516.53%
-1.03B
3.30%
-1.10B
6.67%
-1.14B
3.63%
-1.20B
4.73%
-1.23B
2.51%
-1.22B
0.65%
-1.20B
1.15%
22M
101.83%
-929M
4,322.73%
net cash used for investing activites
163.60M
-
-1.17B
817.36%
-1.50B
28.24%
-1.62B
7.84%
-894M
44.92%
-1.54B
71.81%
-1.40B
9.11%
-1.39B
0.36%
-1.25B
10.21%
-966M
22.66%
-1.14B
18.43%
debt repayment
-1.03B
-
-459.80M
55.47%
-333M
27.58%
-316M
5.11%
-9M
97.15%
-1M
88.89%
-13M
1,200%
-386M
2,869.23%
-1.68B
335.49%
-326M
80.61%
-34M
89.57%
common stock issued
9.70M
-
7.20M
25.77%
10.40M
44.44%
518M
4,880.77%
2M
99.61%
-56M
2,900%
4M
107.14%
common stock repurchased
281.10M
-
581.50M
106.87%
925.70M
59.19%
771M
16.71%
-24M
103.11%
-50M
108.33%
-4M
92%
dividends paid
-1.20B
-
-313.40M
73.91%
-341.90M
9.09%
-386M
12.90%
-435M
12.69%
-442M
1.61%
-269M
39.14%
-111M
-
-181M
63.06%
-11M
93.92%
other financing activites
-12.40M
-
-23.80M
91.94%
-19.10M
19.75%
-3M
84.29%
40M
1,433.33%
81M
102.50%
-12M
114.81%
591M
5,025%
852M
44.16%
-12M
101.41%
21M
275%
net cash used provided by financing activities
-1.96B
-
-208.30M
89.35%
242.10M
216.23%
584M
141.22%
-426M
172.95%
-468M
9.86%
-294M
37.18%
205M
169.73%
-940M
558.54%
-519M
44.79%
-24M
95.38%
effect of forex changes on cash
-3.10M
-
3.70M
219.35%
8M
116.22%
-1M
112.50%
-14M
1,300%
17M
221.43%
6M
64.71%
-50M
933.33%
20M
140%
41M
105%
-3M
107.32%
net change in cash
-388.10M
-
66.09M
117.03%
263.80M
299.15%
537M
103.56%
288M
46.37%
-528M
283.33%
-81M
84.66%
274M
438.27%
-630M
329.93%
-90M
85.71%
69M
176.67%
cash at beginning of period
792.60M
-
404.51M
48.96%
470.60M
16.34%
734M
55.97%
1.27B
73.16%
1.56B
22.66%
1.03B
33.87%
950M
7.86%
1.22B
28.84%
594M
51.47%
504M
15.15%
cash at end of period
404.50M
-
470.60M
16.34%
734.40M
56.06%
1.27B
73.07%
1.56B
22.66%
1.03B
33.87%
950M
7.86%
1.22B
28.84%
594M
51.47%
504M
15.15%
573M
13.69%
operating cash flow
1.41B
-
1.44B
2.67%
1.52B
5.16%
1.58B
3.83%
1.62B
2.79%
1.46B
9.99%
1.60B
9.87%
1.51B
5.74%
1.54B
1.85%
1.35B
12.02%
1.24B
8.42%
capital expenditure
-954M
-
-988.90M
3.66%
-1.07B
7.84%
-1.15B
8.03%
-1.20B
4.51%
-1.23B
2.24%
-1.28B
4.39%
-1.30B
0.93%
-1.28B
1.46%
-1.11B
12.99%
-219M
80.31%
free cash flow
452.80M
-
455.40M
0.57%
452.40M
0.66%
425M
6.06%
417M
1.88%
228M
45.32%
318M
39.47%
214M
32.70%
261M
21.96%
242M
7.28%
1.02B
321.90%

All numbers in CHF (except ratios and percentages)