Iveco Group NV
MIL:IVG

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Iveco Group NV Logo
Iveco Group NV
MIL:IVG
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Price: 19.075 EUR 0.08%
Market Cap: €6.6B

Cash Flow Statement

Cash Flow Statement
Iveco Group NV

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Cash Flow Statement
Currency: EUR
Mar-2021 Jun-2021 Sep-2021 Dec-2021 Mar-2022 Jun-2022 Sep-2022 Dec-2022 Mar-2023 Jun-2023 Sep-2023 Dec-2023 Mar-2024 Jun-2024 Sep-2024 Dec-2024 Mar-2025 Jun-2025 Sep-2025 Dec-2025
Operating Cash Flow
Net Income
(305)
196
221
76
(6)
(46)
(23)
159
184
298
345
234
246
268
276
394
410
344
207
233
Depreciation & Amortization
714
577
575
567
572
574
574
560
558
565
577
599
614
624
646
657
711
741
740
736
Change in Deffered Taxes
(143)
(35)
14
43
(8)
18
(8)
(11)
28
19
27
30
31
39
44
(29)
(19)
(14)
12
(30)
Stock-Based Compensation
0
0
0
0
0
0
0
17
20
25
29
19
0
0
8
13
0
0
7
0
Other Non-Cash Items
339
352
329
177
156
116
99
217
195
191
322
201
318
273
112
130
(131)
(234)
(445)
(578)
Change in Working Capital
(240)
872
1
(324)
(82)
(292)
95
482
39
220
(148)
272
272
23
189
375
167
308
761
413
Cash from Operating Activities
365
N/A
1 962
+438%
1 140
-42%
539
-53%
632
+17%
370
-41%
737
+99%
1 407
+91%
1 004
-29%
1 293
+29%
1 123
-13%
1 336
+19%
1 481
+11%
1 227
-17%
1 267
+3%
1 622
+28%
1 282
-21%
1 289
+1%
1 419
+10%
775
-45%
Investing Cash Flow
Capital Expenditures
(474)
(475)
(508)
(564)
(587)
(617)
(695)
(777)
(828)
(859)
(882)
(970)
(949)
(978)
(963)
(925)
(954)
(889)
(831)
(775)
Other Items
785
255
(39)
519
555
452
556
(563)
(671)
(1 045)
(999)
(1 254)
(1 066)
(297)
95
102
215
213
(325)
120
Cash from Investing Activities
311
N/A
(220)
N/A
(547)
-149%
(45)
+92%
(32)
+29%
(165)
-416%
(139)
+16%
(1 340)
-864%
(1 499)
-12%
(1 904)
-27%
(1 881)
+1%
(2 224)
-18%
(2 015)
+9%
(1 275)
+37%
(868)
+32%
(823)
+5%
(739)
+10%
(676)
+9%
(1 156)
-71%
(655)
+43%
Financing Cash Flow
Net Issuance of Common Stock
0
0
0
0
0
0
0
0
0
(21)
(39)
(55)
(83)
(64)
(104)
(60)
(32)
(30)
27
0
Net Issuance of Debt
(704)
(1 713)
(609)
63
735
747
304
1 346
812
975
709
1 544
1 400
892
1 010
216
(193)
284
(170)
(474)
Cash Paid for Dividends
0
0
0
0
0
0
0
(1)
0
0
0
0
(31)
(91)
(91)
(91)
(60)
(88)
(88)
(88)
Other
0
0
0
(151)
0
0
(75)
0
(176)
(2)
150
1 489
1 623
1 463
1 383
3
(26)
(143)
(137)
(67)
Cash from Financing Activities
(712)
N/A
(1 713)
-141%
(609)
+64%
(88)
+86%
735
N/A
747
+2%
229
-69%
1 345
+487%
710
-47%
1 026
+45%
894
-13%
1 489
+67%
1 420
-5%
711
-50%
709
0%
68
-90%
(311)
N/A
23
N/A
(368)
N/A
(629)
-71%
Change in Cash
Effect of Foreign Exchange Rates
(2)
2
17
28
24
48
42
(21)
(74)
(145)
(174)
(191)
(153)
(111)
(110)
(52)
(56)
(91)
(61)
(51)
Net Change in Cash
(38)
N/A
31
N/A
1
-97%
434
+43 300%
1 359
+213%
1 000
-26%
869
-13%
1 391
+60%
141
-90%
270
+91%
(38)
N/A
410
N/A
733
+79%
552
-25%
998
+81%
815
-18%
176
-78%
545
+210%
(166)
N/A
(560)
-237%
Free Cash Flow
Free Cash Flow
(109)
N/A
1 487
N/A
632
-57%
(25)
N/A
45
N/A
(247)
N/A
42
N/A
630
+1 400%
176
-72%
434
+147%
241
-44%
366
+52%
532
+45%
249
-53%
304
+22%
697
+129%
328
-53%
400
+22%
588
+47%
0
N/A
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