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XETRA:PUM

PUMA

  • Stock

EUR

Last Close

43.89

26/07 15:35

Market Cap

6.47B

Beta: 0.88

Volume Today

314.63K

Avg: 421.71K

PE Ratio

18.01

PFCF: -

Dividend Yield

2.08%

Payout:0%

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Sep '13
Dec '13
Mar '14
Jun '14
Sep '14
Dec '14
Mar '15
Jun '15
Sep '15
Dec '15
Jun '22
Sep '22
Dec '22
Mar '23
Jun '23
Sep '23
Dec '23
Mar '24
net income
78.70M
-
-127.10M
261.50%
55.40M
143.59%
11.30M
79.60%
45.50M
302.65%
9.60M
78.90%
38.40M
300%
1.10M
97.14%
35.90M
3,163.64%
9.60M
73.26%
84.30M
778.13%
146.40M
73.67%
1.40M
99.04%
117.30M
8,278.57%
55M
53.11%
131.70M
139.45%
800K
99.39%
87.30M
10,812.50%
depreciation and amortization
deferred income tax
stock based compensation
5.10M
-
change in working capital
-50.40M
-
152.60M
402.78%
-164.50M
207.80%
69.90M
142.49%
-51.40M
173.53%
162.80M
416.73%
-261.90M
260.87%
77.30M
129.52%
-97.30M
225.87%
156.80M
261.15%
accounts receivables
inventory
accounts payables
other working capital
other non cash items
3.70M
-
119.10M
3,118.92%
-7.70M
106.47%
-1.70M
77.92%
-500K
70.59%
-2.30M
360%
9.10M
495.65%
-4.40M
148.35%
-600K
86.36%
-1.10M
83.33%
-84.30M
7,563.64%
-146.40M
73.67%
-1.40M
99.04%
-117.30M
8,278.57%
-55M
53.11%
-131.70M
139.45%
-800K
99.39%
-87.30M
10,812.50%
net cash provided by operating activities
32M
-
144.60M
351.88%
-116.80M
180.77%
79.50M
168.07%
-6.40M
108.05%
170.10M
2,757.81%
-214.40M
226.04%
74M
134.51%
-62M
183.78%
165.30M
366.61%
5.10M
-
investments in property plant and equipment
-14.70M
-
-21.90M
48.98%
-12.40M
43.38%
-18.90M
52.42%
-16.50M
12.70%
-24.80M
50.30%
-15.60M
37.10%
-20.80M
33.33%
-18.20M
12.50%
-24.40M
34.07%
acquisitions net
-2.30M
-
-100K
-
-500K
-
purchases of investments
sales maturities of investments
other investing activites
1.60M
-
-2.80M
275%
1.70M
160.71%
-19.50M
1,247.06%
8.60M
144.10%
-2.70M
131.40%
11.80M
537.04%
300K
97.46%
8.40M
2,700%
net cash used for investing activites
-14.70M
-
-20.30M
38.10%
-15.20M
25.12%
-19.50M
28.29%
-36M
84.62%
-16.30M
54.72%
-18.30M
12.27%
-9M
50.82%
-18.40M
104.44%
-16M
13.04%
debt repayment
common stock issued
common stock repurchased
dividends paid
other financing activites
-8M
-
-61.40M
667.50%
45.90M
174.76%
-62M
235.08%
42.10M
167.90%
-62.20M
247.74%
113.80M
282.96%
-20.40M
117.93%
12.30M
160.29%
-76.80M
724.39%
net cash used provided by financing activities
-8M
-
-61.40M
667.50%
45.90M
174.76%
-62M
235.08%
42.10M
167.90%
-62.20M
247.74%
113.80M
282.96%
-20.40M
117.93%
12.30M
160.29%
-76.80M
724.39%
effect of forex changes on cash
-7.40M
-
-9.50M
28.38%
-2.70M
71.58%
700K
125.93%
7.10M
914.29%
3.10M
56.34%
12.50M
303.23%
-1.70M
113.60%
-300K
82.35%
-3.20M
966.67%
net change in cash
2M
-
53.40M
2,570%
-88.80M
266.29%
-1.30M
98.54%
6.70M
615.38%
94.80M
1,314.93%
-106.50M
212.34%
42.90M
140.28%
-68.30M
259.21%
69.20M
201.32%
-91.40M
-
56.10M
161.38%
-174.30M
410.70%
19.10M
110.96%
-19.90M
204.19%
264.90M
1,431.16%
cash at beginning of period
334.70M
-
336.70M
0.60%
390.10M
15.86%
301.30M
22.76%
300M
0.43%
306.70M
2.23%
401.50M
30.91%
295M
26.53%
337.90M
14.54%
269.60M
20.21%
498.40M
-
407M
18.34%
463.10M
13.78%
288.80M
37.64%
307.90M
6.61%
288M
6.46%
cash at end of period
336.70M
-
390.10M
15.86%
301.30M
22.76%
300M
0.43%
306.70M
2.23%
401.50M
30.91%
295M
26.53%
337.90M
14.54%
269.60M
20.21%
338.80M
25.67%
407M
-
463.10M
13.78%
288.80M
37.64%
307.90M
6.61%
288M
6.46%
552.90M
91.98%
operating cash flow
32M
-
144.60M
351.88%
-116.80M
180.77%
79.50M
168.07%
-6.40M
108.05%
170.10M
2,757.81%
-214.40M
226.04%
74M
134.51%
-62M
183.78%
165.30M
366.61%
5.10M
-
capital expenditure
-14.70M
-
-21.90M
48.98%
-12.40M
43.38%
-18.90M
52.42%
-16.50M
12.70%
-24.80M
50.30%
-15.60M
37.10%
-20.80M
33.33%
-18.20M
12.50%
-24.40M
34.07%
free cash flow
17.30M
-
122.70M
609.25%
-129.20M
205.30%
60.60M
146.90%
-22.90M
137.79%
145.30M
734.50%
-230M
258.29%
53.20M
123.13%
-80.20M
250.75%
140.90M
275.69%
5.10M
-

All numbers in EUR (except ratios and percentages)