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XETRA:VAR1

VARTA AG

  • Stock

EUR

Last Close

1.74

30/08 15:36

Market Cap

429.83M

Beta: 1.32

Volume Today

531.19K

Avg: 163.22K

PE Ratio

−2.23

PFCF: 29.92

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Dec '16
Mar '17
Jun '17
Sep '17
Dec '17
Mar '18
Jun '18
Sep '18
Dec '18
Mar '19
Jun '19
Sep '19
Dec '19
Mar '20
Jun '20
Sep '20
Dec '20
Mar '21
Jun '21
Sep '21
Dec '21
Mar '22
Jun '22
Sep '22
Dec '22
Mar '23
Jun '23
Sep '23
net income
755K
-
3.78M
400.13%
7.41M
96.27%
6.51M
12.12%
-4.43M
168.05%
7.92M
278.77%
6.06M
23.54%
6.33M
4.57%
4.94M
21.96%
9.10M
84.04%
10.05M
10.45%
13.62M
35.56%
17.62M
29.31%
24.52M
39.18%
15.31M
37.55%
38.39M
150.68%
17.19M
55.21%
24.33M
41.53%
21.22M
12.80%
30.29M
42.75%
50.12M
65.46%
6.03M
87.96%
-3.25M
153.85%
-22.92M
605.39%
-180.29M
686.66%
-37.79M
79.04%
-72.62M
92.16%
-5.40M
92.57%
depreciation and amortization
2.35M
-
2.22M
5.74%
2.36M
6.36%
2.38M
1.06%
2.49M
4.58%
2.47M
0.68%
2.60M
5.21%
2.52M
3.07%
2.92M
15.66%
3.76M
28.96%
4.30M
14.16%
4.60M
7.03%
8.20M
78.29%
10.45M
27.43%
12.45M
19.18%
13.97M
12.21%
29.75M
112.93%
22.21M
25.35%
22.85M
2.89%
23.46M
2.69%
27.15M
15.71%
25.40M
6.44%
27.16M
6.94%
27.29M
0.47%
175.14M
541.72%
22.40M
87.21%
44.82M
100.13%
22.32M
50.20%
deferred income tax
-104.50M
-
-114.05M
9.14%
stock based compensation
4K
-
4K
0%
1K
75%
change in working capital
-23.90M
-
-89.41M
274.09%
-41.30M
-
-31.56M
23.59%
104.50M
431.14%
-61.09M
158.46%
27.17M
-
accounts receivables
-74.62M
-
109.55M
246.81%
25.41M
-
inventory
32M
-
-105.72M
430.37%
179.12M
269.43%
-170.64M
195.27%
1.76M
-
accounts payables
other working capital
-73.30M
-
74.16M
201.18%
other non cash items
22.07M
-
-150K
100.68%
-1.02M
583.33%
-11.22M
994.34%
8.18M
172.93%
-9.97M
221.83%
-3.68M
63.11%
-5.59M
52.16%
53.31M
1,052.76%
-919K
101.72%
-3.64M
295.76%
5.42M
248.89%
33.63M
521.05%
-1.02M
103.04%
19.85M
2,041.88%
245K
98.77%
51.77M
21,028.98%
-26.52M
151.23%
21.03M
179.30%
-53.74M
355.54%
65.42M
221.72%
31.96M
51.14%
-40.96M
228.16%
-36.23M
11.55%
259.03M
815.01%
-50.49M
119.49%
39.19M
177.62%
2.13M
94.57%
net cash provided by operating activities
25.17M
-
5.84M
76.79%
8.74M
49.66%
-2.32M
126.56%
6.24M
368.73%
430K
93.11%
4.98M
1,059.07%
3.26M
34.53%
61.17M
1,774.62%
11.94M
80.48%
10.71M
10.33%
23.64M
120.72%
59.45M
151.49%
33.95M
42.90%
47.61M
40.26%
52.60M
10.49%
98.71M
87.65%
-3.88M
103.93%
-24.31M
526.55%
12K
100.05%
142.68M
1,188,908.33%
22.09M
84.52%
-48.60M
319.99%
-31.85M
34.46%
78.75M
347.21%
-65.89M
183.67%
38.57M
158.54%
19.05M
50.60%
investments in property plant and equipment
-44.20M
-
-43.15M
2.38%
-30.80M
-
-42.22M
37.07%
-24.55M
41.86%
-20.18M
17.79%
-24.90M
23.38%
-25.50M
2.41%
acquisitions net
purchases of investments
sales maturities of investments
other investing activites
-1.10M
-
-761K
31.01%
-3.23M
324.44%
-8.24M
155.26%
-1.19M
85.57%
-12.45M
945.80%
-9.35M
24.88%
-13.13M
40.42%
-24.06M
83.27%
-9.38M
61.02%
-18.02M
92.16%
-42.26M
134.52%
-36.15M
14.47%
-171.90M
375.58%
-35.16M
79.55%
-68.06M
93.61%
-97.85M
43.77%
-4.34M
95.56%
552K
112.72%
-51.90M
9,501.63%
-36.30M
30.05%
-15.14M
58.28%
16.75M
210.60%
-2.37M
114.15%
-48.03M
1,926.50%
-6.32M
86.84%
6.49M
202.58%
net cash used for investing activites
-1.10M
-
-761K
31.01%
-3.23M
324.44%
-8.24M
155.26%
-1.19M
85.57%
-12.45M
945.80%
-9.35M
24.88%
-13.13M
40.42%
-24.06M
83.27%
-9.38M
61.02%
-18.02M
92.16%
-42.26M
134.52%
-36.15M
14.47%
-171.90M
375.58%
-35.16M
79.55%
-68.06M
93.61%
-97.85M
43.77%
-48.54M
50.39%
-42.60M
12.25%
-51.90M
21.84%
-36.30M
30.05%
-45.95M
26.57%
-25.47M
44.57%
-26.92M
5.69%
-68.21M
153.40%
-31.22M
54.23%
-19.02M
39.09%
-24.16M
27.05%
debt repayment
common stock issued
50.70M
-
common stock repurchased
dividends paid
-46K
-
other financing activites
-20.19M
-
-7.78M
61.44%
-5.64M
27.54%
10.65M
288.88%
124.35M
1,067.26%
-19K
100.02%
-49.86M
262,321.05%
31K
100.06%
49.73M
160,332.26%
-1.01M
102.03%
99.28M
9,930.20%
195K
99.80%
-3.59M
1,940.00%
-4.45M
24.00%
36.09M
911.13%
-3.62M
110.02%
-8.13M
124.91%
2.20M
126.99%
43.05M
1,860.61%
34.13M
20.72%
-65.21M
291.05%
228.40M
450.24%
-167.47M
173.33%
52.85M
131.55%
67.27M
27.29%
15.83M
76.47%
-43.38M
374.07%
net cash used provided by financing activities
-20.19M
-
-7.78M
61.44%
-5.64M
27.54%
10.65M
288.88%
124.35M
1,067.26%
-19K
100.02%
-49.86M
262,321.05%
31K
100.06%
49.73M
160,332.26%
-1.01M
102.03%
99.28M
9,930.20%
195K
99.80%
-3.59M
1,940.00%
-4.45M
24.00%
36.09M
911.13%
-3.62M
110.02%
-8.13M
124.91%
2.20M
126.99%
43.05M
1,860.61%
34.13M
20.72%
-65.21M
291.05%
228.40M
450.24%
-167.47M
173.33%
52.85M
131.55%
67.22M
27.20%
66.53M
1.03%
-43.38M
165.20%
-9.18M
78.84%
effect of forex changes on cash
194K
-
-52K
126.80%
-270K
419.23%
-153K
43.33%
10K
106.54%
-99K
1,090%
255K
357.58%
66K
74.12%
233K
253.03%
293K
25.75%
-210K
171.67%
622K
396.19%
-475K
176.37%
159K
133.47%
-279K
275.47%
-983K
252.33%
-1.57M
59.61%
1.17M
174.44%
-396K
133.90%
310K
178.28%
793K
155.81%
261K
67.09%
1.48M
465.52%
446K
69.78%
-1.41M
416.37%
-211K
85.05%
-103K
51.18%
134K
230.10%
net change in cash
4.08M
-
-2.75M
167.61%
-397K
85.59%
-67K
83.12%
129.41M
193,246.27%
-12.13M
109.38%
-53.97M
344.82%
-9.77M
81.90%
87.08M
991.44%
1.85M
97.88%
91.76M
4,865.53%
-17.81M
119.41%
19.24M
208.02%
-142.25M
839.43%
48.26M
133.93%
-20.06M
141.57%
-8.85M
55.89%
-49.06M
454.37%
-24.25M
50.57%
-17.44M
28.07%
41.96M
340.59%
204.81M
388.07%
-240.07M
217.22%
-5.48M
97.72%
76.35M
1,493.18%
-30.79M
140.33%
-23.93M
22.30%
-14.15M
40.86%
cash at beginning of period
8.27M
-
12.35M
49.26%
9.59M
22.31%
9.20M
4.14%
9.13M
0.73%
138.54M
1,417.70%
126.40M
8.76%
72.43M
42.70%
62.66M
13.49%
149.74M
138.95%
151.59M
1.23%
243.35M
60.53%
225.54M
7.32%
244.78M
8.53%
102.54M
58.11%
150.80M
47.07%
130.74M
13.30%
121.89M
6.77%
72.83M
40.25%
48.59M
33.29%
31.14M
35.90%
73.11M
134.73%
277.91M
280.14%
37.84M
86.38%
32.36M
14.48%
108.71M
235.91%
77.92M
28.33%
53.99M
30.71%
cash at end of period
12.35M
-
9.59M
22.31%
9.20M
4.14%
9.13M
0.73%
138.54M
1,417.70%
126.40M
8.76%
72.43M
42.70%
62.66M
13.49%
149.74M
138.95%
151.59M
1.23%
243.35M
60.53%
225.54M
7.32%
244.78M
8.53%
102.54M
58.11%
150.80M
47.07%
130.74M
13.30%
121.89M
6.77%
72.83M
40.25%
48.59M
33.29%
31.14M
35.90%
73.11M
134.73%
277.91M
280.14%
37.84M
86.38%
32.36M
14.48%
108.71M
235.91%
77.92M
28.33%
53.99M
30.71%
39.84M
26.21%
operating cash flow
25.17M
-
5.84M
76.79%
8.74M
49.66%
-2.32M
126.56%
6.24M
368.73%
430K
93.11%
4.98M
1,059.07%
3.26M
34.53%
61.17M
1,774.62%
11.94M
80.48%
10.71M
10.33%
23.64M
120.72%
59.45M
151.49%
33.95M
42.90%
47.61M
40.26%
52.60M
10.49%
98.71M
87.65%
-3.88M
103.93%
-24.31M
526.55%
12K
100.05%
142.68M
1,188,908.33%
22.09M
84.52%
-48.60M
319.99%
-31.85M
34.46%
78.75M
347.21%
-65.89M
183.67%
38.57M
158.54%
19.05M
50.60%
capital expenditure
-44.20M
-
-43.15M
2.38%
-30.80M
-
-42.22M
37.07%
-24.55M
41.86%
-20.18M
17.79%
-24.90M
23.38%
-25.50M
2.41%
free cash flow
25.17M
-
5.84M
76.79%
8.74M
49.66%
-2.32M
126.56%
6.24M
368.73%
430K
93.11%
4.98M
1,059.07%
3.26M
34.53%
61.17M
1,774.62%
11.94M
80.48%
10.71M
10.33%
23.64M
120.72%
59.45M
151.49%
33.95M
42.90%
47.61M
40.26%
52.60M
10.49%
98.71M
87.65%
-48.08M
148.71%
-67.46M
40.30%
12K
100.02%
142.68M
1,188,908.33%
-8.71M
106.10%
-90.82M
942.95%
-56.40M
37.90%
58.56M
203.83%
-90.78M
255.02%
13.07M
114.39%
19.05M
45.82%

All numbers in EUR (except ratios and percentages)