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Engie SA
PAR:ENGI

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Engie SA
PAR:ENGI
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Price: 15.865 EUR 0.51% Market Closed
Updated: May 16, 2024

Cash Flow Statement

Cash Flow Statement
Engie SA

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Cash Flow Statement
Currency: EUR
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
Operating Cash Flow
Net Income
2 572
3 184
3 427
3 187
3 663
3 727
5 591
6 875
5 230
5 749
5 626
5 000
5 420
4 989
2 755
2 027
(8 783)
(8 205)
3 106
1 504
(5 113)
(4 789)
163
109
2 107
1 845
1 629
2 742
1 649
(452)
(742)
1 299
3 678
6 170
(1 793)
(6 899)
2 903
Depreciation & Amortization
1 318
1 398
1 478
1 500
1 529
1 670
3 986
5 588
4 726
5 350
7 331
7 531
7 431
7 753
9 246
9 020
20 519
19 166
5 722
6 703
13 890
13 235
9 252
8 674
6 217
6 773
5 077
4 975
7 083
6 979
8 432
8 556
5 484
5 147
8 057
13 016
11 020
Other Non-Cash Items
320
533
127
(35)
609
1 541
109
771
3 059
2 222
1 779
2 848
3 266
3 554
4 610
5 073
2 393
993
2 942
3 281
2 165
1 407
(187)
(65)
302
430
1 776
1 243
1 129
2 322
1 296
(147)
1 132
1 021
6 250
8 574
483
Cash Taxes Paid
562
1 020
1 348
1 368
1 111
1 148
1 806
1 681
1 377
1 576
2 146
2 567
1 853
1 458
2 010
2 090
2 058
1 957
1 805
1 849
1 722
1 397
896
1 080
905
627
757
671
575
605
494
556
603
823
1 504
2 013
1 687
Cash Interest Paid
189
151
128
127
185
616
1 483
1 761
1 293
1 414
1 565
1 789
1 977
1 970
1 915
1 762
1 553
1 191
1 079
936
918
876
817
781
744
664
727
862
930
890
648
529
719
797
822
845
1 058
Change in Working Capital
(1 422)
(2 287)
(1 966)
(1 098)
(1 023)
(3 881)
(5 293)
(2 694)
611
(1 229)
(2 404)
(2 968)
(2 279)
(2 257)
(3 005)
(3 330)
(2 149)
(89)
(3 019)
(2 488)
(559)
(1 043)
946
652
693
(136)
(609)
(1 710)
(1 684)
(411)
(1 397)
(726)
(2 983)
(2 561)
(3 928)
(3 659)
(1 289)
Cash from Operating Activities
2 788
N/A
2 828
+1%
3 066
+8%
3 554
+16%
4 778
+34%
3 058
-36%
4 393
+44%
10 540
+140%
13 626
+29%
12 092
-11%
12 332
+2%
12 411
+1%
13 838
+12%
14 039
+1%
13 606
-3%
12 790
-6%
11 980
-6%
11 865
-1%
8 751
-26%
9 000
+3%
10 383
+15%
8 810
-15%
10 174
+15%
9 370
-8%
9 319
-1%
8 912
-4%
7 873
-12%
7 250
-8%
8 177
+13%
8 438
+3%
7 589
-10%
8 982
+18%
7 311
-19%
9 777
+34%
8 586
-12%
11 032
+28%
13 117
+19%
Investing Cash Flow
Capital Expenditures
(1 749)
(1 718)
(2 169)
(2 415)
(2 552)
(3 477)
(9 125)
(11 494)
(9 646)
(9 558)
(9 292)
(8 875)
(8 898)
(9 136)
(9 177)
(8 223)
(6 518)
(5 897)
(5 790)
(6 023)
(6 459)
(5 942)
(5 290)
(5 385)
(5 778)
(6 096)
(6 202)
(6 595)
(6 524)
(5 995)
(4 964)
(5 063)
(5 990)
(5 765)
(6 379)
(7 116)
(7 328)
Other Items
(361)
(437)
(5)
206
(71)
(1 674)
1 777
4 243
1 470
1 916
1 508
736
994
353
726
1 635
1 415
1 062
1 851
1 699
229
341
1 635
3 539
607
(1 909)
107
458
(669)
(815)
918
(110)
(5 052)
(8 273)
2 089
5 161
(4 490)
Cash from Investing Activities
(2 110)
N/A
(2 155)
-2%
(2 174)
-1%
(2 209)
-2%
(2 623)
-19%
(5 152)
-96%
(7 348)
-43%
(7 251)
+1%
(8 176)
-13%
(7 642)
+7%
(7 784)
-2%
(8 140)
-5%
(7 904)
+3%
(8 783)
-11%
(8 451)
+4%
(6 588)
+22%
(5 103)
+23%
(4 835)
+5%
(3 939)
+19%
(4 324)
-10%
(6 230)
-44%
(5 601)
+10%
(3 655)
+35%
(1 846)
+49%
(5 171)
-180%
(8 005)
-55%
(6 095)
+24%
(6 137)
-1%
(7 193)
-17%
(6 810)
+5%
(4 046)
+41%
(5 173)
-28%
(11 042)
-113%
(14 038)
-27%
(4 290)
+69%
(1 955)
+54%
(11 818)
-505%
Financing Cash Flow
Net Issuance of Common Stock
1 869
1 851
68
104
(2)
(183)
(433)
(241)
84
(374)
72
596
207
(83)
(129)
99
2 040
4 157
2 498
359
22
12
(20)
31
346
307
174
140
(1 372)
(1 173)
181
7
226
213
(374)
(226)
143
Net Issuance of Debt
(827)
(656)
273
169
(229)
2 386
10 566
10 101
1 990
(2 340)
2 027
2 910
1 597
4 898
4 029
1 861
(2 247)
(2 497)
(1 361)
(1 014)
988
(251)
(1 848)
(576)
(1 382)
(1 289)
(604)
1 782
3 587
4 511
1 306
(2 199)
3 298
1 759
(2 303)
(1 740)
4 045
Cash Paid for Dividends
(420)
(669)
(669)
(1 083)
(1 095)
(2 105)
(3 900)
(3 843)
(4 028)
(3 902)
(3 918)
(4 074)
(4 363)
(3 461)
(2 117)
(3 344)
(4 694)
(4 326)
(3 720)
(3 241)
(3 107)
(3 130)
(3 155)
(3 210)
(2 871)
(2 677)
(2 659)
(3 064)
(1 834)
0
0
(1 534)
(1 859)
(2 602)
(2 665)
(3 915)
(4 067)
Other
(323)
(408)
(238)
(218)
(77)
32
(704)
(2 730)
(2 328)
(929)
(1 863)
(2 034)
63
1 158
(10 103)
(11 628)
(2 126)
(1 910)
(2 390)
(2 154)
(1 198)
(1 119)
(1 011)
(1 325)
(827)
1 678
1 161
(1 532)
(169)
26
(2 048)
(1 192)
3 183
7 415
2 363
(2 134)
(339)
Cash from Financing Activities
299
N/A
118
-61%
(566)
N/A
(1 028)
-82%
(1 403)
-36%
131
N/A
5 528
+4 129%
3 287
-41%
(4 282)
N/A
(7 546)
-76%
(3 682)
+51%
(2 602)
+29%
(2 496)
+4%
2 512
N/A
(8 320)
N/A
(13 012)
-56%
(7 027)
+46%
(4 576)
+35%
(4 973)
-9%
(6 050)
-22%
(3 295)
+46%
(4 488)
-36%
(6 034)
-34%
(5 080)
+16%
(4 734)
+7%
(1 981)
+58%
(1 928)
+3%
(2 674)
-39%
212
N/A
3 363
+1 486%
(561)
N/A
(4 918)
-777%
4 848
N/A
6 785
+40%
(2 979)
N/A
(8 015)
-169%
(218)
+97%
Change in Cash
Effect of Foreign Exchange Rates
10
18
25
116
0
220
(248)
(454)
107
262
106
(400)
(58)
176
(127)
(108)
(2 083)
(2 026)
1
(26)
(221)
(178)
157
(29)
(297)
(317)
(79)
20
623
296
(529)
(70)
233
584
363
(125)
(73)
Net Change in Cash
987
N/A
809
-18%
351
-57%
433
+23%
752
+74%
(1 743)
N/A
2 325
N/A
6 122
+163%
1 275
-79%
(2 834)
N/A
972
N/A
1 269
+31%
3 380
+166%
7 944
+135%
(3 292)
N/A
(6 918)
-110%
(2 233)
+68%
428
N/A
(160)
N/A
(1 400)
-775%
637
N/A
(1 457)
N/A
642
N/A
2 415
+276%
(883)
N/A
(1 391)
-58%
(229)
+84%
(1 541)
-573%
1 819
N/A
5 287
+191%
2 453
-54%
(1 179)
N/A
1 350
N/A
3 108
+130%
1 680
-46%
937
-44%
1 008
+8%
Free Cash Flow
Free Cash Flow
1 039
N/A
1 110
+7%
897
-19%
1 139
+27%
2 226
+95%
(420)
N/A
(4 732)
-1 027%
(954)
+80%
3 980
N/A
2 534
-36%
3 040
+20%
3 536
+16%
4 940
+40%
4 903
-1%
4 429
-10%
4 567
+3%
5 462
+20%
5 968
+9%
2 961
-50%
2 977
+1%
3 924
+32%
2 868
-27%
4 884
+70%
3 985
-18%
3 541
-11%
2 816
-20%
1 671
-41%
655
-61%
1 653
+152%
2 443
+48%
2 625
+7%
3 919
+49%
1 321
-66%
4 012
+204%
2 207
-45%
3 916
+77%
5 789
+48%

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