UniCredit SpA
OTC:UNCFF

Watchlist Manager
UniCredit SpA Logo
UniCredit SpA
OTC:UNCFF
Watchlist
Price: 89.25 USD 2.22%
Market Cap: $146.1B

Cash Flow Statement

Cash Flow Statement
UniCredit SpA

Rotate your device to view
Cash Flow Statement
Currency: EUR
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 Dec-2020 Jun-2021 Dec-2021 Jun-2022 Dec-2022 Jun-2023 Dec-2023 Jun-2024 Dec-2024 Jun-2025
Operating Cash Flow
Net Income
5 448
5 962
5 901
5 269
4 012
1 974
1 702
1 434
1 323
1 975
(9 206)
(9 444)
865
592
(13 965)
(2 778)
(845)
1 570
1 945
6 473
8 551
9 534
10 399
9 774
10 672
Depreciation & Amortization
1 726
1 675
1 371
1 551
2 367
2 336
1 557
1 593
1 672
1 650
2 440
2 382
1 389
1 361
3 539
1 420
2 022
1 497
1 504
1 303
1 378
1 625
1 558
1 306
1 273
Stock-Based Compensation
0
0
66
0
12
0
59
0
1
0
57
0
75
0
41
53
0
69
93
57
45
76
98
73
92
Other Non-Cash Items
1 027
1 172
2 426
2 058
48
85
1 218
665
1 468
2 038
3 645
2 385
(574)
(818)
(1 136)
3 287
4 300
2 920
2 477
854
2 171
3 157
3 632
4 683
3 124
Change in Working Capital
3 594
2 776
6 549
3 196
79
(3 377)
(8 373)
(9 244)
(12 729)
(5 547)
7 864
21 855
(12 127)
(25 007)
15 696
81 394
97 646
(13 508)
(15 271)
1 634
(49 110)
(55 444)
(30 279)
(22 839)
(16 216)
Cash from Operating Activities
11 795
N/A
11 585
-2%
16 247
+40%
12 074
-26%
6 506
-46%
1 018
-84%
(3 896)
N/A
(5 553)
-43%
(8 266)
-49%
117
N/A
4 742
+3 953%
17 177
+262%
(10 447)
N/A
(23 872)
-129%
4 134
N/A
83 323
+1 916%
103 123
+24%
(7 521)
N/A
(9 345)
-24%
10 264
N/A
(37 010)
N/A
(41 128)
-11%
(14 690)
+64%
(7 076)
+52%
(1 147)
+84%
Investing Cash Flow
Capital Expenditures
(7 938)
(6 227)
(7 654)
0
(1 897)
0
(2 082)
0
(1 887)
0
(1 589)
(1 847)
(1 484)
(1 767)
(1 570)
(1 430)
(1 858)
(1 237)
(1 250)
(1 170)
(1 202)
(1 152)
(1 760)
(1 740)
(1 142)
Other Items
383
(1 514)
(711)
(2 322)
(3 873)
112
7 720
5 066
1 445
2 361
1 126
2 238
2 400
2 040
1 720
1 999
2 315
538
531
933
823
365
434
675
318
Cash from Investing Activities
(7 555)
N/A
(7 741)
-2%
(8 364)
-8%
(8 130)
+3%
(5 770)
+29%
(1 785)
+69%
5 639
N/A
2 985
-47%
(442)
N/A
474
N/A
(462)
N/A
392
N/A
916
+134%
273
-70%
151
-45%
569
+277%
457
-20%
(699)
N/A
(719)
-3%
(237)
+67%
(379)
-60%
(787)
-108%
(1 326)
-68%
(1 065)
+20%
(824)
+23%
Financing Cash Flow
Net Issuance of Common Stock
192
0
23
0
(222)
0
2 799
0
3 915
0
(4)
0
7 360
7 360
0
0
(179)
(378)
(1 699)
(3 043)
(3 888)
(4 763)
(5 318)
(5 878)
0
Cash Paid for Dividends
(2 287)
(2 498)
(2 498)
(3 443)
(3 443)
(6)
(94)
(717)
(876)
(1 114)
(983)
(343)
(254)
(865)
(934)
(579)
(1 107)
(774)
(1 709)
(1 702)
(2 404)
(2 440)
(3 618)
(4 950)
(4 176)
Other
0
21
0
(503)
0
3 173
0
3 833
0
(1)
0
7 350
0
(7 354)
0
1 239
1 239
(256)
(756)
(806)
(1 556)
(1 250)
(1 156)
(162)
987
Cash from Financing Activities
(2 096)
N/A
(2 477)
-18%
(2 475)
+0%
(3 947)
-59%
(3 665)
+7%
3 168
N/A
2 705
-15%
3 116
+15%
3 039
-2%
(1 115)
N/A
(987)
+11%
7 007
N/A
7 106
+1%
(859)
N/A
(934)
-9%
660
N/A
(47)
N/A
(1 408)
-2 896%
(4 164)
-196%
(5 551)
-33%
(7 848)
-41%
(8 453)
-8%
(10 092)
-19%
(10 990)
-9%
(6 167)
+44%
Change in Cash
Effect of Foreign Exchange Rates
77
211
(16)
(82)
(492)
(644)
(113)
162
96
(104)
(160)
(47)
68
(43)
(105)
(150)
(98)
32
306
(107)
(808)
(408)
68
(427)
(87)
Net Change in Cash
2 221
N/A
1 578
-29%
5 392
+242%
(85)
N/A
(3 421)
-3 925%
1 757
N/A
4 335
+147%
710
-84%
(5 573)
N/A
(628)
+89%
3 133
N/A
24 529
+683%
(2 357)
N/A
(24 501)
-939%
3 246
N/A
84 402
+2 500%
103 435
+23%
(9 596)
N/A
(13 922)
-45%
4 369
N/A
(46 045)
N/A
(50 776)
-10%
(26 040)
+49%
(19 558)
+25%
(8 225)
+58%