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Debt to assets
Cash flow
Balance sheet
(in millions CAD) | 31 Jan 2024 | 31 Oct 2023 | |||
---|---|---|---|---|---|
Current assets | |||||
Cash | CAD$0.199 | CAD$0.273 | |||
Short term investments | CAD$0.02 | CAD$0.08 | |||
Net receivables | CAD$0.093 | CAD$0.088 | |||
Inventory | |||||
Other current assets | |||||
Total current assets | CAD$0.317 | CAD$0.447 | |||
Long term investments | |||||
Property, plant & equipment | CAD$0.024 | CAD$0.037 | |||
Goodwill | |||||
Intangible assets | |||||
Other assets | |||||
Deferred long term asset charges | |||||
Total assets | CAD$0.341 | CAD$0.484 | |||
Current liabilities | |||||
Accounts payable | CAD$0.114 | CAD$0.146 | |||
Short long term debt | CAD$0.008 | CAD$0.06 | |||
Other current liabilities | CAD$0.003 | CAD$0.004 | |||
Total current liabilities | CAD$0.126 | CAD$0.21 | |||
Long term debt | |||||
Other liabilities | -CAD$0.04 | ||||
Deferred long term liabilities | |||||
Minority interest | |||||
Total liabilities | CAD$0.126 | CAD$0.21 | |||
Stockholders' equity | |||||
Stock option warrants | |||||
Common stock | CAD$44.28 | CAD$44.28 | |||
Retained earnings | -CAD$50.42 | -CAD$50.31 | |||
Treasury stock | |||||
Capital surplus | |||||
Other stockholder equity | CAD$0.017 | CAD$0.017 | |||
Total stockholder equity | CAD$0.215 | CAD$0.274 | |||
Net tangible assets |
(in millions CAD) | 2023 | 2022 | ||
---|---|---|---|---|
Current assets | ||||
Cash | CAD$0.273 | CAD$0.487 | ||
Short term investments | CAD$0.08 | CAD$0.15 | ||
Net receivables | CAD$0.088 | CAD$0.316 | ||
Inventory | ||||
Other current assets | ||||
Total current assets | CAD$0.447 | CAD$1.02 | ||
Long term investments | CAD$0.002 | |||
Property, plant & equipment | CAD$0.037 | CAD$0.091 | ||
Goodwill | ||||
Intangible assets | ||||
Other assets | ||||
Deferred long term asset charges | ||||
Total assets | CAD$0.484 | CAD$1.11 | ||
Current liabilities | ||||
Accounts payable | CAD$0.146 | CAD$0.273 | ||
Short long term debt | CAD$0.06 | CAD$0.046 | ||
Other current liabilities | CAD$0.004 | CAD$0.005 | ||
Total current liabilities | CAD$0.21 | CAD$0.325 | ||
Long term debt | CAD$0.061 | |||
Other liabilities | -CAD$0.04 | -CAD$0.04 | ||
Deferred long term liabilities | ||||
Minority interest | ||||
Total liabilities | CAD$0.21 | CAD$0.385 | ||
Stockholders' equity | ||||
Stock option warrants | ||||
Common stock | CAD$44.28 | CAD$44.21 | ||
Retained earnings | -CAD$50.31 | -CAD$49.59 | ||
Treasury stock | ||||
Capital surplus | ||||
Other stockholder equity | CAD$0.017 | CAD$0.017 | ||
Total stockholder equity | CAD$0.274 | CAD$0.725 | ||
Net tangible assets |
Income statement
(in millions CAD) | 31 Jan 2024 | 31 Oct 2023 | |||
---|---|---|---|---|---|
Revenue | |||||
Total revenue | CAD$0.098 | CAD$0.134 | |||
Cost of revenue | |||||
Gross profit | CAD$0.098 | CAD$0.134 | |||
Operating activities | |||||
Research & development | CAD$0.052 | CAD$0.051 | |||
Selling, general & administrative | CAD$0.152 | CAD$0.239 | |||
Non-recurring | |||||
Other operating expenses | CAD$0.001 | ||||
Total operating expenses | CAD$0.204 | CAD$0.29 | |||
Operating income | -CAD$0.105 | -CAD$0.157 | |||
Income from continuing operations | |||||
Net other income | CAD$0.001 | ||||
EBIT | |||||
Interest expense | -CAD$0.001 | ||||
Income before tax | -CAD$0.104 | -CAD$0.155 | |||
Income tax expense | CAD$0.009 | CAD$0.013 | |||
Minority interest | |||||
Net income from continuing ops | |||||
Non-recurring events | |||||
Discontinued operations | |||||
Extraordinary items | |||||
Effect of accounting change | |||||
Other items | -CAD$0.002 | -CAD$0.002 | |||
Net income | |||||
Net income | -CAD$0.112 | -CAD$0.168 | |||
Income (for common shares) | -CAD$0.112 | -CAD$0.168 |
(in millions CAD) | 2023 | 2022 | |
---|---|---|---|
Revenue | |||
Total revenue | CAD$0.474 | CAD$1.03 | |
Cost of revenue | |||
Gross profit | CAD$0.474 | CAD$1.03 | |
Operating activities | |||
Research & development | CAD$0.391 | CAD$0.816 | |
Selling, general & administrative | CAD$0.77 | CAD$0.858 | |
Non-recurring | |||
Other operating expenses | CAD$0.003 | -CAD$0.001 | |
Total operating expenses | CAD$1.16 | CAD$1.67 | |
Operating income | -CAD$0.686 | -CAD$0.647 | |
Income from continuing operations | |||
Net other income | CAD$0.003 | -CAD$0.001 | |
EBIT | |||
Interest expense | -CAD$0.003 | -CAD$0.005 | |
Income before tax | -CAD$0.676 | -CAD$0.586 | |
Income tax expense | CAD$0.046 | CAD$0.076 | |
Minority interest | |||
Net income from continuing ops | |||
Non-recurring events | |||
Discontinued operations | |||
Extraordinary items | |||
Effect of accounting change | |||
Other items | -CAD$0.01 | -CAD$0.06 | |
Net income | |||
Net income | -CAD$0.722 | -CAD$0.662 | |
Income (for common shares) | -CAD$0.722 | -CAD$0.662 |
Cash flows
(in millions CAD) | 31 Jan 2024 | 31 Oct 2023 | |||
---|---|---|---|---|---|
Net income | -CAD$0.112 | -CAD$0.168 | |||
Operating activities | |||||
Depreciation | CAD$0.014 | CAD$0.014 | |||
Net income adjustments | |||||
Change in accounts receivable | |||||
Changes in liabilities | |||||
Changes in inventory | |||||
Changes in other operating activities | |||||
Total cash flows from operations | -CAD$0.081 | -CAD$0.005 | |||
Investing activities | |||||
Capital expenditures | -CAD$0.001 | ||||
Investments | |||||
Other cash flows from investing | CAD$0.06 | ||||
Total cash flows from investing | CAD$0.059 | ||||
Financing activities | |||||
Dividends paid | |||||
Sale and purchase of stock | |||||
Net borrowings | -CAD$0.052 | -CAD$0.012 | |||
Other cash flows from financing | |||||
Total cash flows from financing | -CAD$0.052 | -CAD$0.012 | |||
Effect of exchange rate | -CAD$0.002 | ||||
Change in cash and equivalents | -CAD$0.073 | -CAD$0.018 |
(in millions CAD) | 2023 | 2022 | ||
---|---|---|---|---|
Net income | -CAD$0.722 | -CAD$0.662 | ||
Operating activities | ||||
Depreciation | CAD$0.055 | CAD$0.051 | ||
Net income adjustments | ||||
Change in accounts receivable | ||||
Changes in liabilities | ||||
Changes in inventory | ||||
Changes in other operating activities | ||||
Total cash flows from operations | -CAD$0.304 | -CAD$0.498 | ||
Investing activities | ||||
Capital expenditures | -CAD$0.001 | -CAD$0.017 | ||
Investments | ||||
Other cash flows from investing | CAD$0.07 | -CAD$0.152 | ||
Total cash flows from investing | CAD$0.069 | -CAD$0.168 | ||
Financing activities | ||||
Dividends paid | ||||
Sale and purchase of stock | CAD$0.068 | CAD$0.213 | ||
Net borrowings | -CAD$0.047 | -CAD$0.049 | ||
Other cash flows from financing | -CAD$0.006 | |||
Total cash flows from financing | CAD$0.021 | CAD$0.158 | ||
Effect of exchange rate | -CAD$0.002 | CAD$0.061 | ||
Change in cash and equivalents | -CAD$0.215 | -CAD$0.508 |
Profit margin
Debt to assets
Cash flow
Balance sheet
(in millions CAD) | 30 Jul 2022 | 29 Apr 2022 | |||
---|---|---|---|---|---|
Current assets | |||||
Cash | CAD$0.85855 | CAD$0.849375 | |||
Short term investments | |||||
Net receivables | CAD$0.128459 | CAD$0.146552 | |||
Inventory | |||||
Other current assets | |||||
Total current assets | CAD$1.018145 | CAD$1.047016 | |||
Long term investments | CAD$0.0315 | CAD$0.0315 | |||
Property, plant & equipment | CAD$0.103395 | CAD$0.114793 | |||
Goodwill | |||||
Intangible assets | |||||
Other assets | |||||
Deferred long term asset charges | |||||
Total assets | CAD$1.15304 | CAD$1.193309 | |||
Current liabilities | |||||
Accounts payable | CAD$0.235788 | CAD$0.231361 | |||
Short long term debt | |||||
Other current liabilities | CAD$0.006715 | CAD$0.006578 | |||
Total current liabilities | CAD$0.300792 | CAD$0.29374 | |||
Long term debt | CAD$0.04 | CAD$0.04 | |||
Other liabilities | |||||
Deferred long term liabilities | |||||
Minority interest | |||||
Total liabilities | CAD$0.37189 | CAD$0.376549 | |||
Stockholders' equity | |||||
Stock option warrants | |||||
Common stock | CAD$44.167715 | CAD$43.963582 | |||
Retained earnings | -CAD$49.408719 | -CAD$49.218477 | |||
Treasury stock | CAD$0.026 | CAD$0.093533 | |||
Capital surplus | CAD$5.996154 | CAD$5.978122 | |||
Other stockholder equity | CAD$0.026 | CAD$0.093533 | |||
Total stockholder equity | CAD$0.78115 | CAD$0.81676 | |||
Net tangible assets | CAD$0.78115 | CAD$0.81676 |
(in millions CAD) | 2021 | 2020 | ||
---|---|---|---|---|
Current assets | ||||
Cash | CAD$0.994924 | CAD$0.962337 | ||
Short term investments | CAD$0.06 | |||
Net receivables | CAD$0.205507 | CAD$0.202974 | ||
Inventory | ||||
Other current assets | ||||
Total current assets | CAD$1.232174 | CAD$1.250654 | ||
Long term investments | ||||
Property, plant & equipment | CAD$0.125584 | CAD$0.035253 | ||
Goodwill | ||||
Intangible assets | ||||
Other assets | ||||
Deferred long term asset charges | ||||
Total assets | CAD$1.357758 | CAD$1.285907 | ||
Current liabilities | ||||
Accounts payable | CAD$0.182354 | CAD$0.151111 | ||
Short long term debt | ||||
Other current liabilities | CAD$0.006502 | CAD$0.007679 | ||
Total current liabilities | CAD$0.231388 | CAD$0.177494 | ||
Long term debt | CAD$0.04 | |||
Other liabilities | ||||
Deferred long term liabilities | ||||
Minority interest | ||||
Total liabilities | CAD$0.338303 | CAD$0.177494 | ||
Stockholders' equity | ||||
Stock option warrants | ||||
Common stock | CAD$43.963582 | CAD$43.395752 | ||
Retained earnings | -CAD$48.927957 | -CAD$48.27111 | ||
Treasury stock | CAD$0.093533 | CAD$0.266135 | ||
Capital surplus | CAD$5.890297 | CAD$5.717636 | ||
Other stockholder equity | CAD$0.093533 | CAD$0.266135 | ||
Total stockholder equity | CAD$1.019455 | CAD$1.108413 | ||
Net tangible assets | CAD$1.019455 | CAD$1.108413 |
Income statement
(in millions CAD) | 30 Jul 2022 | 29 Apr 2022 | |||
---|---|---|---|---|---|
Revenue | |||||
Total revenue | CAD$0.236002 | CAD$0.357594 | |||
Cost of revenue | |||||
Gross profit | CAD$0.236002 | CAD$0.357594 | |||
Operating activities | |||||
Research & development | CAD$0.194132 | CAD$0.190212 | |||
Selling, general & administrative | CAD$0.221772 | CAD$0.226782 | |||
Non-recurring | |||||
Other operating expenses | |||||
Total operating expenses | CAD$0.415904 | CAD$0.416994 | |||
Operating income | -CAD$0.179902 | -CAD$0.0594 | |||
Income from continuing operations | |||||
Net other income | CAD$0.00006 | -CAD$0.000745 | |||
EBIT | -CAD$0.179902 | -CAD$0.0594 | |||
Interest expense | -CAD$0.001065 | -CAD$0.001204 | |||
Income before tax | -CAD$0.179842 | -CAD$0.060145 | |||
Income tax expense | CAD$0.0104 | CAD$0.022734 | |||
Minority interest | |||||
Net income from continuing ops | -CAD$0.190242 | -CAD$0.082879 | |||
Non-recurring events | |||||
Discontinued operations | |||||
Extraordinary items | |||||
Effect of accounting change | |||||
Other items | |||||
Net income | |||||
Net income | -CAD$0.190242 | -CAD$0.082879 | |||
Income (for common shares) | -CAD$0.190242 | -CAD$0.082879 |
(in millions CAD) | 2021 | 2020 | ||
---|---|---|---|---|
Revenue | ||||
Total revenue | CAD$0.885345 | CAD$0.521791 | ||
Cost of revenue | ||||
Gross profit | CAD$0.885345 | CAD$0.521791 | ||
Operating activities | ||||
Research & development | CAD$0.614219 | CAD$0.455177 | ||
Selling, general & administrative | CAD$0.841028 | CAD$0.586776 | ||
Non-recurring | ||||
Other operating expenses | ||||
Total operating expenses | CAD$1.455247 | CAD$1.041953 | ||
Operating income | -CAD$0.569902 | -CAD$0.520162 | ||
Income from continuing operations | ||||
Net other income | -CAD$0.000487 | -CAD$0.086201 | ||
EBIT | -CAD$0.569902 | -CAD$0.520162 | ||
Interest expense | -CAD$0.003899 | -CAD$0.089906 | ||
Income before tax | -CAD$0.570389 | -CAD$0.606363 | ||
Income tax expense | CAD$0.086458 | CAD$0.050805 | ||
Minority interest | ||||
Net income from continuing ops | -CAD$0.656847 | -CAD$0.657168 | ||
Non-recurring events | ||||
Discontinued operations | ||||
Extraordinary items | ||||
Effect of accounting change | ||||
Other items | ||||
Net income | ||||
Net income | -CAD$0.656847 | -CAD$0.657168 | ||
Income (for common shares) | -CAD$0.656847 | -CAD$0.657168 |
Cash flows
(in millions CAD) | 30 Jul 2022 | 29 Apr 2022 | |||
---|---|---|---|---|---|
Net income | -CAD$0.190242 | -CAD$0.082879 | |||
Operating activities | |||||
Depreciation | CAD$0.012484 | CAD$0.012858 | |||
Net income adjustments | CAD$0.053782 | CAD$0.040925 | |||
Change in accounts receivable | CAD$0.018093 | CAD$0.025533 | |||
Changes in liabilities | CAD$0.005614 | CAD$0.077464 | |||
Changes in inventory | |||||
Changes in other operating activities | CAD$0.019953 | -CAD$0.027585 | |||
Total cash flows from operations | -CAD$0.080316 | CAD$0.046316 | |||
Investing activities | |||||
Capital expenditures | -CAD$0.00008 | -CAD$0.015672 | |||
Investments | -CAD$0.0315 | ||||
Other cash flows from investing | |||||
Total cash flows from investing | -CAD$0.00008 | -CAD$0.047172 | |||
Financing activities | |||||
Dividends paid | |||||
Sale and purchase of stock | |||||
Net borrowings | -CAD$0.011279 | -CAD$0.011015 | |||
Other cash flows from financing | |||||
Total cash flows from financing | CAD$0.089571 | -CAD$0.011015 | |||
Effect of exchange rate | |||||
Change in cash and equivalents | CAD$0.009175 | -CAD$0.011871 |
(in millions CAD) | 2021 | 2020 | ||
---|---|---|---|---|
Net income | -CAD$0.656847 | -CAD$0.657168 | ||
Operating activities | ||||
Depreciation | CAD$0.052731 | CAD$0.050084 | ||
Net income adjustments | CAD$0.182801 | CAD$0.143387 | ||
Change in accounts receivable | -CAD$0.002533 | -CAD$0.106919 | ||
Changes in liabilities | CAD$0.030066 | CAD$0.008921 | ||
Changes in inventory | ||||
Changes in other operating activities | -CAD$0.0064 | -CAD$0.014219 | ||
Total cash flows from operations | -CAD$0.400182 | -CAD$0.575914 | ||
Investing activities | ||||
Capital expenditures | -CAD$0.008428 | -CAD$0.005419 | ||
Investments | CAD$0.06 | CAD$0.24 | ||
Other cash flows from investing | ||||
Total cash flows from investing | CAD$0.051572 | CAD$0.234581 | ||
Financing activities | ||||
Dividends paid | ||||
Sale and purchase of stock | ||||
Net borrowings | CAD$0.016109 | -CAD$0.244879 | ||
Other cash flows from financing | -CAD$0.010438 | |||
Total cash flows from financing | CAD$0.381197 | CAD$1.019958 | ||
Effect of exchange rate | ||||
Change in cash and equivalents | CAD$0.032587 | CAD$0.678625 |
ALMIL
Profit margin
Debt to assets
Cash flow
Balance sheet
(in millions EUR) | 30 Jun 2023 | 31 Mar 2023 | |||
---|---|---|---|---|---|
Current assets | |||||
Cash | €21.61 | €21.61 | |||
Short term investments | |||||
Net receivables | €34.18 | €34.18 | |||
Inventory | |||||
Other current assets | |||||
Total current assets | €55.78 | €55.78 | |||
Long term investments | €2.53 | €2.53 | |||
Property, plant & equipment | €28.12 | €28.12 | |||
Goodwill | |||||
Intangible assets | €1.06 | €1.06 | |||
Other assets | €0.21 | €0.21 | |||
Deferred long term asset charges | |||||
Total assets | €88.22 | €88.22 | |||
Current liabilities | |||||
Accounts payable | €10.84 | €10.84 | |||
Short long term debt | |||||
Other current liabilities | €9.28 | €9.28 | |||
Total current liabilities | €33.13 | €33.13 | |||
Long term debt | €42.38 | €42.38 | |||
Other liabilities | -€41.87 | €0.132 | |||
Deferred long term liabilities | |||||
Minority interest | |||||
Total liabilities | €75.64 | €75.64 | |||
Stockholders' equity | |||||
Stock option warrants | |||||
Common stock | €0.225 | €0.225 | |||
Retained earnings | -€0.4 | -€0.4 | |||
Treasury stock | |||||
Capital surplus | |||||
Other stockholder equity | €7.19 | €7.19 | |||
Total stockholder equity | €12.59 | €12.59 | |||
Net tangible assets |
(in millions EUR) | 2022 | 2021 | ||
---|---|---|---|---|
Current assets | ||||
Cash | €15.54 | €19.39 | ||
Short term investments | ||||
Net receivables | €33.07 | €31.2 | ||
Inventory | ||||
Other current assets | €0.144 | |||
Total current assets | €49.43 | €51.07 | ||
Long term investments | €2.34 | €1.73 | ||
Property, plant & equipment | €27.76 | €28.64 | ||
Goodwill | -€0.002 | |||
Intangible assets | €0.733 | €1.82 | ||
Other assets | €0.211 | €0.191 | ||
Deferred long term asset charges | ||||
Total assets | €81 | €83.9 | ||
Current liabilities | ||||
Accounts payable | €8.5 | €12.47 | ||
Short long term debt | €1.69 | €0.004 | ||
Other current liabilities | €9.79 | €8.37 | ||
Total current liabilities | €33.58 | €34.7 | ||
Long term debt | €11.95 | €15.2 | ||
Other liabilities | -€13.05 | -€14.05 | ||
Deferred long term liabilities | ||||
Minority interest | ||||
Total liabilities | €45.92 | €50.92 | ||
Stockholders' equity | ||||
Stock option warrants | ||||
Common stock | €0.225 | €0.225 | ||
Retained earnings | €2.22 | €1.04 | ||
Treasury stock | ||||
Capital surplus | ||||
Other stockholder equity | €27.06 | €26.13 | ||
Total stockholder equity | €35.07 | €32.97 | ||
Net tangible assets |
Income statement
(in millions EUR) | 30 Jun 2023 | 31 Mar 2023 | |||
---|---|---|---|---|---|
Revenue | |||||
Total revenue | €18.36 | €18.36 | |||
Cost of revenue | €14.94 | €14.94 | |||
Gross profit | €3.43 | €3.43 | |||
Operating activities | |||||
Research & development | |||||
Selling, general & administrative | €2.58 | €2.58 | |||
Non-recurring | |||||
Other operating expenses | €1.37 | €1.37 | |||
Total operating expenses | €18.71 | €18.71 | |||
Operating income | -€0.35 | -€0.35 | |||
Income from continuing operations | |||||
Net other income | €1.37 | €1.37 | |||
EBIT | |||||
Interest expense | -€0.172 | -€0.172 | |||
Income before tax | -€0.203 | -€0.203 | |||
Income tax expense | -€0.003 | -€0.003 | |||
Minority interest | |||||
Net income from continuing ops | |||||
Non-recurring events | |||||
Discontinued operations | |||||
Extraordinary items | |||||
Effect of accounting change | |||||
Other items | -€0.146 | -€0.146 | |||
Net income | |||||
Net income | -€0.2 | -€0.2 | |||
Income (for common shares) | -€0.2 | -€0.2 |
(in millions EUR) | 2022 | 2021 | ||
---|---|---|---|---|
Revenue | ||||
Total revenue | €78.92 | €70.21 | ||
Cost of revenue | €65.16 | €57.86 | ||
Gross profit | €13.76 | €12.35 | ||
Operating activities | ||||
Research & development | €0.208 | |||
Selling, general & administrative | €6.25 | €4.78 | ||
Non-recurring | ||||
Other operating expenses | €12.07 | €6.71 | ||
Total operating expenses | €77.12 | €69.64 | ||
Operating income | €1.8 | €0.572 | ||
Income from continuing operations | ||||
Net other income | €12.07 | €6.71 | ||
EBIT | ||||
Interest expense | -€0.407 | -€0.438 | ||
Income before tax | €1.92 | €0.879 | ||
Income tax expense | -€0.298 | -€0.165 | ||
Minority interest | ||||
Net income from continuing ops | ||||
Non-recurring events | ||||
Discontinued operations | ||||
Extraordinary items | ||||
Effect of accounting change | ||||
Other items | -€0.124 | -€0.306 | ||
Net income | ||||
Net income | €2.22 | €1.04 | ||
Income (for common shares) | €2.22 | €1.04 |
Cash flows
(in millions EUR) | 30 Jun 2023 | 31 Mar 2023 | |||
---|---|---|---|---|---|
Net income | -€0.2 | -€0.2 | |||
Operating activities | |||||
Depreciation | €0.472 | €0.319 | |||
Net income adjustments | |||||
Change in accounts receivable | |||||
Changes in liabilities | |||||
Changes in inventory | |||||
Changes in other operating activities | |||||
Total cash flows from operations | €0.186 | €0.186 | |||
Investing activities | |||||
Capital expenditures | -€0.366 | -€0.366 | |||
Investments | |||||
Other cash flows from investing | €0.006 | €0.006 | |||
Total cash flows from investing | -€0.36 | -€0.36 | |||
Financing activities | |||||
Dividends paid | -€11.02 | -€11.02 | |||
Sale and purchase of stock | |||||
Net borrowings | €14.25 | €14.25 | |||
Other cash flows from financing | |||||
Total cash flows from financing | €3.22 | €3.22 | |||
Effect of exchange rate | |||||
Change in cash and equivalents | €3.04 | €3.04 |
(in millions EUR) | 2022 | 2021 | ||
---|---|---|---|---|
Net income | €2.22 | €1.04 | ||
Operating activities | ||||
Depreciation | €1.47 | €3.88 | ||
Net income adjustments | ||||
Change in accounts receivable | ||||
Changes in liabilities | ||||
Changes in inventory | ||||
Changes in other operating activities | ||||
Total cash flows from operations | -€1.3 | €9.95 | ||
Investing activities | ||||
Capital expenditures | -€1.05 | -€1 | ||
Investments | ||||
Other cash flows from investing | €0.055 | €0.021 | ||
Total cash flows from investing | -€0.998 | -€0.979 | ||
Financing activities | ||||
Dividends paid | ||||
Sale and purchase of stock | €0.034 | -€7.97 | ||
Net borrowings | -€1.54 | -€1.68 | ||
Other cash flows from financing | €0.001 | |||
Total cash flows from financing | -€1.5 | -€9.65 | ||
Effect of exchange rate | -€0.17 | -€0.11 | ||
Change in cash and equivalents | -€3.85 | -€0.499 |