Resilux NV
LSE:0FSN
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Resilux NV
Cash from Operating Activities
Resilux NV
Cash from Operating Activities Peer Comparison
Competitors Analysis
Latest Figures & CAGR of Competitors
| Company | Cash from Operating Activities | CAGR 3Y | CAGR 5Y | CAGR 10Y | ||
|---|---|---|---|---|---|---|
|
R
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Resilux NV
LSE:0FSN
|
Cash from Operating Activities
€37.7m
|
CAGR 3-Years
36%
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CAGR 5-Years
-3%
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CAGR 10-Years
N/A
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Resilux NV
Glance View
Resilux NV manufactures plastic bottle preforms. The company is headquartered in Wetteren, Oost-Vlaanderen. The Company’s preforms are blown into bottles and filled with water, soft drinks, edible oils, ketchup, detergents, milk, beer, wine, fruit juices, etc. The company also offers wide mouth jars, packaging foils, and blister packs. In addition, the Company provides in-house, wall-to-wall, or satellite blowing services. The company offers preforms and bottles for various end markets, including food, drinks, and non-food markets. The firm also operates in Switzerland through Poly Recycling.
See Also
What is Resilux NV's Cash from Operating Activities?
Cash from Operating Activities
37.7m
EUR
Based on the financial report for Dec 31, 2021, Resilux NV's Cash from Operating Activities amounts to 37.7m EUR.
What is Resilux NV's Cash from Operating Activities growth rate?
Cash from Operating Activities CAGR 5Y
-3%
Over the last year, the Cash from Operating Activities growth was -25%. The average annual Cash from Operating Activities growth rates for Resilux NV have been 36% over the past three years , -3% over the past five years .