av/bayer--big.svg

XETRA:BAYN

Bayer AG

  • Stock

EUR

Last Close

27.81

30/08 15:37

Market Cap

25.98B

Beta: 1.15

Volume Today

2.22M

Avg: 2.42M

PE Ratio

−7.66

PFCF: −55.29

Dividend Yield

8.39%

Payout:−64.88%

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Dec '13
Dec '14
Dec '15
Dec '16
Dec '17
Dec '18
Dec '19
Dec '20
Dec '21
Dec '22
Dec '23
net income
3.19B
-
3.44B
8.07%
4.02B
16.70%
4.56B
13.44%
3.25B
28.74%
1.71B
47.32%
2.43B
42.02%
-15.56B
740.37%
1.02B
106.57%
4.17B
307.63%
-2.94B
170.60%
depreciation and amortization
2.90B
-
2.94B
1.38%
3.33B
13.52%
3.74B
12.30%
2.66B
28.93%
6.35B
138.80%
5.37B
15.54%
13.26B
147.14%
3.06B
76.95%
6.50B
112.79%
3.93B
39.52%
deferred income tax
-1.34B
-
-2.98B
121.92%
-602M
79.77%
-2.07B
243.36%
78M
103.77%
stock based compensation
303M
-
63M
79.21%
238M
277.78%
365M
53.36%
-7.53B
2,161.64%
change in working capital
-910M
-
-1.35B
48.02%
-373M
72.31%
-390M
4.56%
2M
100.51%
4.04B
201,950%
1.46B
63.97%
8.67B
495.33%
1.06B
87.82%
-2.70B
355.30%
-3.88B
43.99%
accounts receivables
14M
-
695M
4,864.29%
-61M
108.78%
269M
540.98%
689M
156.13%
inventory
-608M
-
-741M
21.88%
-187M
74.76%
-3M
98.40%
-293M
9,666.67%
615M
309.90%
-103M
116.75%
-900M
773.79%
-173M
80.78%
-2.17B
1,154.34%
-430M
80.18%
accounts payables
759M
-
-347M
145.72%
854M
346.11%
612M
28.34%
82M
86.60%
other working capital
-302M
-
-606M
100.66%
-186M
69.31%
-387M
108.06%
295M
176.23%
3.43B
1,061.36%
786M
77.06%
9.22B
1,073.03%
436M
95.27%
-1.41B
422.71%
-4.22B
200.14%
other non cash items
-1M
-
778M
77,900%
-88M
111.31%
1.18B
1,438.64%
2.22B
88.79%
-4.19B
288.26%
-6M
99.86%
1.45B
24,266.67%
319M
78%
822M
157.68%
14.40B
1,651.70%
net cash provided by operating activities
5.17B
-
5.81B
12.36%
6.89B
18.59%
9.09B
31.92%
8.13B
10.51%
7.92B
2.67%
8.21B
3.66%
4.90B
40.26%
5.09B
3.79%
7.09B
39.38%
4.06B
42.73%
investments in property plant and equipment
-2.16B
-
-2.37B
9.92%
-2.52B
6.16%
-2.58B
2.42%
-2.37B
8.22%
-2.59B
9.59%
-2.65B
2.20%
-2.42B
8.75%
-2.61B
7.98%
-2.95B
12.95%
-2.75B
6.71%
acquisitions net
-1.00B
-
-13.24B
1,220.14%
-174M
98.69%
-16M
90.80%
295M
1,943.75%
-37.75B
12,897.63%
2.14B
105.66%
1.91B
10.63%
-1.35B
170.51%
2.20B
263.30%
-493M
122.43%
purchases of investments
-177M
-
-370M
109.04%
-6.33B
1,612.16%
-313M
95.06%
2.59B
928.43%
-724M
127.92%
-4.70B
549.17%
-400M
91.49%
-3.01B
652.50%
-445M
85.22%
sales maturities of investments
301M
-
1.54B
-
5.72B
270.51%
149M
97.39%
673M
351.68%
4.70B
598.66%
32M
99.32%
139M
334.38%
other investing activites
278M
-
250M
10.07%
299M
19.60%
200M
33.11%
409M
104.50%
-2.12B
617.36%
418M
119.75%
463M
10.77%
510M
10.15%
1.35B
164.31%
-464M
134.42%
net cash used for investing activites
-2.58B
-
-15.54B
502.05%
-2.76B
82.23%
-8.73B
216.04%
-432M
95.05%
-34.15B
7,805.56%
-671M
98.04%
-4.07B
507.00%
855M
120.99%
-2.38B
378.48%
-4.01B
68.58%
debt repayment
-9.70B
-
-15.75B
62.38%
-19.55B
24.15%
-15.92B
18.56%
-12.85B
19.30%
-47.27B
267.92%
-11.76B
75.12%
-6.42B
45.37%
-9.04B
40.78%
-7.61B
15.91%
-3.25B
57.23%
common stock issued
1.49B
-
3.30B
121.48%
3.72B
12.64%
8.99B
141.75%
10M
-
23M
130%
common stock repurchased
15.81B
-
14.34B
9.31%
9.57B
33.26%
63.76B
566.38%
-10M
-
-24M
140%
dividends paid
-1.57B
-
-1.74B
10.48%
-1.87B
7.48%
-2.13B
13.75%
-2.36B
11.19%
-2.41B
1.82%
-2.62B
8.64%
-2.77B
5.85%
-1.99B
28.00%
-1.99B
0.40%
-2.36B
18.79%
other financing activites
8.74B
-
27.22B
211.60%
146M
99.46%
59M
59.59%
46M
22.03%
365M
693.48%
5.99B
1,540%
9.62B
60.62%
5.39B
43.92%
5.37B
0.41%
6.49B
20.76%
net cash used provided by financing activities
-2.54B
-
9.74B
484.06%
-3.97B
140.82%
-350M
91.19%
-1.88B
437.43%
23.43B
1,345.72%
-8.39B
135.80%
423M
105.04%
-5.64B
1,434.52%
-4.22B
25.24%
873M
120.69%
effect of forex changes on cash
-91M
-
184M
302.20%
-153M
183.15%
27M
117.65%
-139M
614.81%
-581M
317.99%
6M
101.03%
-240M
4,100%
35M
114.58%
112M
220.00%
-185M
265.18%
net change in cash
-36M
-
191M
630.56%
6M
96.86%
40M
566.67%
5.68B
14,105.00%
-3.38B
159.54%
-867M
74.37%
1.01B
216.03%
373M
62.92%
607M
62.73%
736M
21.25%
cash at beginning of period
1.70B
-
1.66B
2.12%
1.85B
11.49%
1.86B
0.32%
1.90B
2.15%
7.43B
291.52%
4.05B
45.50%
3.19B
21.40%
4.19B
31.59%
4.56B
8.90%
5.17B
13.30%
cash at end of period
1.66B
-
1.85B
11.49%
1.86B
0.32%
1.90B
2.15%
7.58B
299.21%
4.05B
46.55%
3.19B
21.40%
4.19B
31.59%
4.56B
8.90%
5.17B
13.30%
5.91B
14.23%
operating cash flow
5.17B
-
5.81B
12.36%
6.89B
18.59%
9.09B
31.92%
8.13B
10.51%
7.92B
2.67%
8.21B
3.66%
4.90B
40.26%
5.09B
3.79%
7.09B
39.38%
4.06B
42.73%
capital expenditure
-2.16B
-
-2.37B
9.92%
-2.52B
6.16%
-2.58B
2.42%
-2.37B
8.22%
-2.59B
9.59%
-2.65B
2.20%
-2.42B
8.75%
-2.61B
7.98%
-2.95B
12.95%
-2.75B
6.71%
free cash flow
3.01B
-
3.44B
14.10%
4.37B
27.16%
6.51B
48.89%
5.77B
11.41%
5.32B
7.70%
5.56B
4.38%
2.48B
55.28%
2.48B
0.28%
4.14B
67.23%
1.31B
68.36%

All numbers in EUR (except ratios and percentages)