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Cashflow-Rechnung

Cashflow-Rechnung
Schroders PLC

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Cashflow-Rechnung
Währung: GBP
Dec-2002 Jun-2003 Dec-2003 Jun-2004 Dec-2004 Jun-2005 Dec-2005 Jun-2006 Dec-2006 Jun-2007 Dec-2007 Jun-2008 Dec-2008 Jun-2009 Dec-2009 Jun-2010 Dec-2010 Jun-2011 Dec-2011 Jun-2012 Dec-2012 Jun-2013 Dec-2013 Jun-2014 Dec-2014 Jun-2015 Dec-2015 Jun-2016 Dec-2016 Jun-2017 Dec-2017 Jun-2018 Dec-2018 Jun-2019 Dec-2019 Jun-2020 Dec-2020 Jun-2021 Dec-2021 Jun-2022 Dec-2022 Jun-2023 Dec-2023 Jun-2024 Dec-2024 Jun-2025 Dec-2025
Operativer Cashflow
Nettogewinn
5
7
41
86
112
225
213
226
256
305
348
289
78
(4)
111
262
382
413
391
354
344
388
430
441
517
583
589
581
618
679
760
789
650
598
625
585
611
704
764
703
587
550
488
488
558
479
674
Abschreibungen
43
32
19
9
15
12
11
10
9
9
10
11
12
13
14
15
13
13
14
13
12
12
26
38
37
36
36
39
46
56
63
66
81
114
139
150
169
173
163
170
189
199
212
207
191
188
182
Aktienbasierte Vergütung
0
0
0
0
0
0
0
0
6
13
33
51
24
35
28
31
34
49
43
35
45
48
57
66
61
0
63
0
52
0
61
0
64
0
62
0
56
86
90
94
68
64
63
46
30
32
31
Sonstige nicht zahlungswirksame Posten
(4)
(13)
(15)
(111)
(8)
(393)
(322)
125
16
(838)
38
(565)
49
106
83
(39)
(56)
23
47
58
45
27
60
71
39
35
0
(42)
(30)
540
10
33
68
16
(20)
(4)
(47)
(67)
(4)
90
53
(11)
(40)
(82)
(52)
25
(143)
Gezahlte Steuern
5
13
9
12
19
39
51
37
36
58
68
86
113
72
39
45
48
61
79
92
82
83
94
94
106
100
97
108
139
158
149
145
143
128
104
134
137
118
194
192
105
155
195
113
84
65
78
Gezahlte Zinsen
0
0
1
1
1
1
1
2
1
1
1
0
0
0
2
2
1
1
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Veränderung des Working Capital
52
377
101
(66)
23
126
190
(19)
(71)
724
225
948
(14)
(331)
163
410
728
907
(25)
(225)
89
(58)
(312)
(444)
729
893
(578)
(469)
(71)
(576)
(249)
(485)
(285)
(10)
258
318
100
(223)
311
38
144
(417)
(898)
342
351
487
201
Cashflow aus operativer Tätigkeit
95
N/A
403
+323%
146
-64%
(76)
N/A
141
N/A
(30)
N/A
92
N/A
341
+270%
209
-39%
200
-5%
621
+211%
683
+10%
126
-82%
(216)
N/A
371
N/A
648
+75%
1.067
+65%
1.356
+27%
427
-69%
200
-53%
489
+145%
369
-25%
204
-45%
105
-48%
1.322
+1.154%
1.547
+17%
48
-97%
110
+129%
564
+413%
700
+24%
585
-16%
404
-31%
514
+27%
718
+40%
1.002
+39%
1.050
+5%
833
-21%
587
-30%
1.234
+110%
1.001
-19%
973
-3%
321
-67%
(238)
N/A
956
N/A
1.048
+10%
1.179
+12%
914
-22%
Investitions-Cashflow
Investitionsausgaben
(91)
0
(2)
(1)
(3)
(8)
(8)
(9)
(12)
(23)
(30)
(25)
(16)
(10)
(6)
(9)
(11)
(10)
(13)
(11)
(13)
(21)
(26)
(25)
(30)
(32)
(39)
(42)
(65)
(109)
(173)
(200)
(204)
(181)
(143)
(120)
(93)
(88)
(89)
(97)
(104)
(95)
(80)
(81)
(71)
(49)
(19)
Sonstige Posten
7
(325)
(172)
219
26
64
(29)
7
41
(178)
(254)
146
453
540
339
162
(4)
(51)
139
53
49
534
6
(341)
(85)
(351)
(392)
(307)
(230)
(345)
(307)
(204)
(199)
136
(15)
151
244
105
207
(360)
(500)
(34)
(145)
(539)
(624)
(282)
7
Cashflow aus Investitionstätigkeit
(85)
N/A
(325)
-285%
(173)
+47%
217
N/A
23
-90%
56
+146%
(37)
N/A
(2)
+95%
29
N/A
(201)
N/A
(284)
-41%
121
N/A
437
+262%
529
+21%
333
-37%
154
-54%
(15)
N/A
(61)
-315%
126
N/A
43
-66%
37
-14%
513
+1.306%
(19)
N/A
(366)
-1.787%
(114)
+69%
(383)
-235%
(431)
-12%
(350)
+19%
(295)
+16%
(455)
-54%
(480)
-6%
(404)
+16%
(403)
+0%
(45)
+89%
(158)
-255%
32
N/A
151
+374%
17
-89%
117
+612%
(457)
N/A
(604)
-32%
(128)
+79%
(225)
-75%
(619)
-175%
(695)
-12%
(330)
+52%
(12)
+96%
Finanzierungs-Cashflow
Nettoausgabe von Stammaktien
(19)
0
0
0
(9)
(8)
(17)
(70)
(147)
(30)
(27)
(111)
(113)
(11)
(6)
(137)
(138)
(101)
(123)
(64)
(39)
(35)
(112)
(122)
(65)
(55)
(51)
(65)
(59)
(58)
(57)
(76)
(75)
(97)
(125)
(91)
(74)
(114)
(108)
(126)
(134)
(92)
(77)
(46)
(70)
(67)
(47)
Nettoaufnahme von Schulden
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
19
0
(19)
0
0
0
0
0
0
0
0
0
0
0
0
0
0
(14)
(27)
(31)
(44)
(51)
(48)
7
(51)
(105)
(52)
197
203
(45)
(47)
Gezahlte Dividenden
(54)
(53)
(53)
(54)
(56)
(58)
(60)
(62)
(63)
(71)
(75)
(85)
(87)
(85)
(85)
(85)
(88)
(100)
(105)
(104)
(104)
(115)
(124)
(156)
(178)
(212)
(226)
(237)
(237)
(257)
(271)
(310)
(313)
(312)
(312)
(312)
(312)
(313)
(328)
(345)
(341)
(340)
(349)
(350)
(341)
(342)
(338)
Sonstiges
0
(9)
0
0
0
(26)
(12)
0
37
0
19
(0)
(1)
(1)
0
(0)
(3)
(6)
(5)
(2)
(2)
(2)
(1)
(1)
(0)
0
(1)
0
(0)
(0)
(1)
0
(1)
(2)
(3)
(2)
(1)
(1)
54
54
(7)
(8)
(2)
(1)
(5)
(13)
(17)
Cashflow aus Finanzierungstätigkeit
(73)
N/A
(62)
+15%
(53)
+14%
(54)
0%
(65)
-22%
(92)
-41%
(89)
+4%
(159)
-80%
(173)
-9%
(101)
+42%
(83)
+18%
(196)
-137%
(201)
-2%
(96)
+52%
(91)
+5%
(223)
-144%
(210)
+6%
(208)
+1%
(251)
-21%
(169)
+32%
(145)
+14%
(152)
-5%
(236)
-56%
(278)
-18%
(243)
+13%
(267)
-10%
(278)
-4%
(302)
-9%
(296)
+2%
(315)
-6%
(329)
-4%
(388)
-18%
(389)
0%
(425)
-9%
(467)
-10%
(436)
+7%
(431)
+1%
(479)
-11%
(430)
+10%
(410)
+5%
(533)
-30%
(545)
-2%
(480)
+12%
(200)
+58%
(213)
-6%
(466)
-119%
(448)
+4%
Veränderung der Zahlungsmittel
Effekt von Wechselkursänderungen
0
0
0
(8)
0
4
3
(1)
(15)
(15)
11
35
111
23
(41)
52
100
143
(1)
(89)
(30)
36
(12)
(93)
(54)
(15)
51
149
191
94
(43)
(45)
40
43
(25)
29
30
(70)
(19)
76
91
(10)
0
18
(29)
2
11
Nettoveränderung der Zahlungsmittel
(62)
N/A
16
N/A
(80)
N/A
80
N/A
98
+23%
(62)
N/A
(30)
+52%
179
N/A
50
-72%
(117)
N/A
265
N/A
642
+143%
472
-26%
240
-49%
572
+139%
632
+10%
942
+49%
1.230
+31%
301
-76%
(16)
N/A
351
N/A
767
+118%
(64)
N/A
(632)
-893%
911
N/A
882
-3%
(610)
N/A
(393)
+36%
164
N/A
24
-85%
(266)
N/A
(433)
-63%
(238)
+45%
292
N/A
351
+20%
675
+92%
583
-14%
54
-91%
903
+1.563%
211
-77%
(74)
N/A
(363)
-392%
(942)
-160%
154
N/A
112
-28%
384
+244%
466
+21%
Free Cashflow
Free Cashflow
4
N/A
403
+9.274%
145
-64%
(77)
N/A
138
N/A
(38)
N/A
85
N/A
332
+292%
198
-40%
177
-10%
591
+234%
658
+11%
109
-83%
(226)
N/A
365
N/A
640
+75%
1.056
+65%
1.346
+27%
414
-69%
189
-54%
476
+152%
348
-27%
178
-49%
80
-55%
1.292
+1.513%
1.515
+17%
9
-99%
67
+641%
499
+640%
590
+18%
413
-30%
203
-51%
310
+53%
538
+74%
859
+60%
930
+8%
740
-20%
499
-33%
1.145
+130%
904
-21%
869
-4%
226
-74%
(318)
N/A
875
N/A
978
+12%
1.130
+16%
895
-21%
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