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Cashflow-Rechnung

Cashflow-Rechnung
Thales SA

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Cashflow-Rechnung
Währung: EUR
Dec-2001 Jun-2002 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
(366)
(290)
111
57
112
256
341
330
343
352
391
720
889
627
560
291
(202)
(70)
(108)
(69)
512
528
536
579
609
857
762
591
813
940
1.015
927
737
890
1.028
1.117
1.146
630
492
862
1.134
1.266
1.131
1.224
1.003
1.348
1.344
1.000
1.640
Abschreibungen
1.036
1.039
504
482
456
428
273
221
274
268
295
384
424
416
433
427
421
433
445
437
415
442
481
421
367
321
450
503
493
384
492
399
504
383
485
592
1.113
1.258
1.126
1.058
1.063
1.038
1.059
1.045
1.045
1.104
1.155
1.141
1.087
Aktienbasierte Vergütung
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
18
25
15
0
0
0
0
0
15
0
28
0
37
0
49
0
54
0
48
0
15
0
39
42
57
58
53
56
94
97
112
Sonstige nicht zahlungswirksame Posten
(131)
(129)
(23)
98
202
183
274
330
284
295
120
(57)
(362)
(35)
(10)
(9)
109
155
(169)
(104)
105
74
138
103
45
(144)
(4)
193
33
(55)
(65)
(1)
77
113
98
(117)
(112)
(50)
66
302
(39)
(260)
(208)
(189)
(616)
(828)
28
450
159
Gezahlte Steuern
0
0
0
0
0
(3)
0
0
0
0
0
0
0
47
80
79
98
90
107
101
60
81
125
90
40
65
98
97
102
100
99
106
91
78
91
122
154
144
97
8
145
150
156
202
195
233
185
202
413
Gezahlte Zinsen
0
0
0
0
0
0
0
0
118
0
83
0
120
0
107
0
0
0
0
0
0
21
37
49
48
29
31
29
25
24
21
23
14
29
23
29
54
80
59
40
65
64
69
96
148
211
267
224
226
Veränderung des Working Capital
129
(214)
(286)
(153)
(134)
(508)
(529)
(273)
(291)
(324)
(53)
(398)
34
(69)
(163)
422
826
159
355
419
(455)
(377)
(136)
(262)
(250)
(430)
(332)
(182)
130
475
(104)
46
395
(317)
(518)
(642)
(377)
(222)
(26)
30
675
1.086
879
147
111
(183)
(8)
454
435
Cashflow aus operativer Tätigkeit
667
N/A
407
-39%
306
-25%
485
+58%
637
+31%
357
-44%
359
+0%
603
+68%
610
+1%
590
-3%
754
+28%
649
-14%
985
+52%
940
-5%
821
-13%
1.132
+38%
1.155
+2%
677
-41%
523
-23%
684
+31%
577
-16%
667
+16%
1.020
+53%
841
-18%
771
-8%
666
-14%
875
+32%
1.104
+26%
1.468
+33%
1.845
+26%
1.338
-27%
1.478
+10%
1.713
+16%
1.182
-31%
1.093
-8%
1.053
-4%
1.770
+68%
1.616
-9%
1.657
+3%
2.253
+36%
2.833
+26%
3.129
+10%
2.861
-9%
2.227
-22%
1.542
-31%
1.439
-7%
2.519
+75%
3.045
+21%
3.322
+9%
Investitions-Cashflow
Investitionsausgaben
(536)
(515)
(418)
(405)
(376)
(354)
(311)
(337)
(391)
(412)
(412)
(411)
(528)
(589)
(535)
(454)
(419)
(383)
(315)
(282)
(264)
(295)
(437)
(457)
(384)
(425)
(473)
(472)
(473)
(502)
(480)
(440)
(439)
(406)
(393)
(412)
(503)
(491)
(379)
(400)
(451)
(459)
(535)
(615)
(626)
(625)
(623)
(663)
(757)
Sonstige Posten
637
1.032
340
200
201
259
137
156
203
287
344
(588)
(674)
167
(107)
(317)
(146)
(48)
97
115
(173)
(164)
225
254
57
(119)
(170)
(17)
90
(192)
(348)
(30)
(169)
(244)
44
(3.847)
(4.112)
(198)
7
30
(43)
(431)
(597)
(726)
(3.522)
(2.343)
595
(251)
(153)
Cashflow aus Investitionstätigkeit
102
N/A
516
+408%
(78)
N/A
(205)
-162%
(175)
+15%
(94)
+46%
(174)
-84%
(181)
-4%
(188)
-4%
(124)
+34%
(68)
+45%
(999)
-1.361%
(1.202)
-20%
(421)
+65%
(642)
-52%
(771)
-20%
(565)
+27%
(431)
+24%
(218)
+49%
(168)
+23%
(437)
-161%
(460)
-5%
(213)
+54%
(203)
+5%
(327)
-61%
(544)
-66%
(643)
-18%
(489)
+24%
(383)
+22%
(694)
-81%
(828)
-19%
(470)
+43%
(608)
-29%
(649)
-7%
(349)
+46%
(4.260)
-1.121%
(4.615)
-8%
(689)
+85%
(372)
+46%
(371)
+1%
(493)
-33%
(890)
-80%
(1.132)
-27%
(1.341)
-18%
(4.147)
-209%
(2.967)
+28%
(28)
+99%
(914)
-3.177%
(910)
+0%
Finanzierungs-Cashflow
Nettoausgabe von Stammaktien
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
1
1
(7)
7
18
32
91
109
78
104
125
92
5
(32)
(38)
(30)
(19)
(25)
(23)
(35)
(9)
4
(27)
(161)
(351)
(440)
(491)
(459)
(275)
(94)
(45)
Nettoaufnahme von Schulden
(149)
(854)
(909)
(307)
(133)
(92)
46
26
(306)
(542)
470
428
(476)
(256)
228
777
21
101
511
187
(814)
(1.161)
(84)
130
141
(29)
(48)
47
38
564
(3)
(540)
74
1.091
1.061
1.542
633
509
1.423
(1.306)
(1.712)
(1.118)
(696)
292
2.746
2.266
(997)
(1.371)
(1.828)
Gezahlte Dividenden
0
0
0
0
0
0
0
0
(134)
(274)
(140)
(169)
(169)
(195)
(195)
(205)
(205)
(98)
(98)
(14)
(64)
(155)
(155)
(176)
(181)
(228)
(243)
(231)
(234)
(286)
(297)
(338)
(349)
(371)
(382)
(442)
(463)
(128)
(85)
(375)
(417)
(544)
(563)
(615)
(634)
(700)
(708)
(760)
(781)
Sonstiges
(153)
(115)
(19)
(68)
(162)
(170)
(92)
(35)
119
181
5
32
43
(27)
(45)
12
22
12
0
0
(3)
0
0
(32)
(32)
(111)
(131)
(71)
(51)
(48)
(48)
(13)
(68)
(96)
(42)
(14)
(18)
(16)
(12)
(14)
(14)
(14)
(42)
(79)
(49)
(3)
(14)
(13)
(2)
Cashflow aus Finanzierungstätigkeit
(302)
N/A
(969)
-221%
(929)
+4%
(376)
+60%
(295)
+21%
(263)
+11%
(47)
+82%
(9)
+80%
(321)
-3.352%
(634)
-98%
335
N/A
290
-13%
(602)
N/A
(479)
+20%
(11)
+98%
584
N/A
(162)
N/A
15
N/A
415
+2.645%
175
-58%
(888)
N/A
(1.313)
-48%
(222)
+83%
(46)
+79%
19
N/A
(259)
N/A
(344)
-33%
(151)
+56%
(122)
+19%
323
N/A
(343)
N/A
(923)
-169%
(381)
+59%
594
N/A
617
+4%
1.061
+72%
128
-88%
331
+158%
1.316
+298%
(1.690)
N/A
(2.169)
-28%
(1.836)
+15%
(1.652)
+10%
(842)
+49%
1.572
N/A
1.104
-30%
(1.995)
N/A
(2.238)
-12%
(2.656)
-19%
Veränderung der Zahlungsmittel
Effekt von Wechselkursänderungen
26
(59)
(62)
(26)
(49)
8
(2)
12
38
(21)
(7)
10
(49)
(91)
(132)
(37)
32
81
71
(65)
(80)
(32)
10
(20)
(27)
(1)
29
35
6
(4)
0
(45)
(59)
(25)
(6)
10
11
(55)
(42)
40
42
50
3
(62)
(56)
53
64
(87)
(77)
Nettoveränderung der Zahlungsmittel
492
N/A
(106)
N/A
(762)
-623%
(122)
+84%
118
N/A
8
-93%
135
+1.572%
426
+214%
138
-67%
(189)
N/A
1.013
N/A
(50)
N/A
(869)
-1.628%
(51)
+94%
36
N/A
907
+2.442%
460
-49%
341
-26%
790
+132%
627
-21%
(827)
N/A
(1.137)
-37%
595
N/A
572
-4%
436
-24%
(138)
N/A
(82)
+40%
500
N/A
969
+94%
1.471
+52%
167
-89%
41
-75%
666
+1.520%
1.102
+66%
1.355
+23%
(2.135)
N/A
(2.706)
-27%
1.202
N/A
2.559
+113%
232
-91%
213
-8%
453
+113%
80
-82%
(17)
N/A
(1.089)
-6.423%
(371)
+66%
560
N/A
(194)
N/A
(321)
-65%
Free Cashflow
Free Cashflow
131
N/A
(109)
N/A
(112)
-3%
80
N/A
261
+228%
4
-99%
48
+1.163%
266
+455%
219
-18%
178
-19%
342
+92%
238
-30%
457
+92%
351
-23%
286
-19%
678
+137%
736
+9%
294
-60%
208
-29%
402
+93%
313
-22%
372
+19%
583
+57%
384
-34%
387
+1%
241
-38%
403
+67%
633
+57%
994
+57%
1.343
+35%
858
-36%
1.038
+21%
1.274
+23%
776
-39%
700
-10%
641
-8%
1.267
+98%
1.125
-11%
1.278
+14%
1.853
+45%
2.382
+29%
2.670
+12%
2.326
-13%
1.612
-31%
917
-43%
814
-11%
1.896
+133%
2.382
+26%
2.565
+8%
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