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AB Electrolux (publ) (ELUX-B): Kapitalflussrechnung

Takani Score ?
18.3

Preis (11.09.2026)52W Hoch52W Tief
26,97 Krone88,4 Krone21,81 Krone
Analysten KonsensBuyOutperformHoldUnderperformSell
31,847 Krone-----
Externe Analystenschätzungen (Quelle: EODHD) – keine Anlageempfehlung von Takani.
#SharesShort [%]Short Ratio
787.711.363--

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Kennzahl in 1000 SEK
2025-12-312024-12-312023-12-312022-12-312021-12-312020-12-312019-12-312018-12-312017-12-312016-12-312015-12-312014-12-312013-12-312012-12-312011-12-312010-12-312009-12-312008-12-312007-12-312006-12-312005-12-312004-12-312003-12-312002-12-312001-12-312000-12-311999-12-311998-12-311997-12-311996-12-31
Umsatz
131.282.000136.150.000134.451.000134.880.000125.631.000115.960.000118.981.000124.129.000122.060.000121.093.000123.511.000112.143.000109.151.000109.994.000101.598.000106.326.000109.132.000104.792.000104.732.000103.848.000129.469.000121.447.756,78123.969.883,77133.428.377,04135.748.822,08125.396.999,7119.429.543,87117.615.855,1113.562.941,14109.931.233,83
Cashflow aus operativer Geschäftstätigkeit
1.190.0004.197.0004.003.000-2.274.0007.059.00011.932.0008.434.0008.046.00010.024.00010.165.0008.267.0007.822.0004.455.0007.155.0005.399.0007.680.0008.297.0004.949.0005.346.0004.560.0006.540.0008.641.551,826.289.421,2510.924.926,399.482.300,46.142.165,18.652.957,044.701.390,1888.687.332,623.973.426,377
Operative Cashflow Marge
0,91%3,08%2,98%-1,69%5,62%10,29%7,09%6,48%8,21%8,39%6,69%6,98%4,08%6,5%5,31%7,22%7,6%4,72%5,1%4,39%5,05%7,12%5,07%8,19%6,99%4,9%7,25%4%7,65%3,61%
Investitionsausgaben (CapEx)
2.311.0004.648.0005.699.0007.390.0006.043.0005.338.0006.930.0005.629.0004.679.0003.390.0003.640.0003.651.0004.491.0005.141.0007.444.0003.221.0002.223.0003.158.0003.430.0003.667.0005.318.0004.547.133,973.457.384,713.346.138,954.191.0724.452.357,74.437.195,493.759.003,544.395.702,9164.804.289,985
Cashflow aus Investitionstätigkeit
-2.685.000-4.277.000-4.358.000-6.962.000-6.815.000-5.202.000-7.683.000-6.506.000-8.200.000-2.557.000-3.403.000-3.759.000-4.734.000-4.777.000-10.049.000-4.474.000-2.967.000-3.755.000-4.069.000-2.386.000-5.827.000-5.392.647,9-2.566.083,87-1.016.878,591.215.410,88-3.389.108,1-3.134.141,92-776.941,832-4.365.513,74-4.763.709,726
Cashflow aus Finanzierungstätigkeit
1.944.0001.266.000-1.550.00015.601.000-9.785.0002.023.000-1.162.000-1.245.000-3.178.000-5.424.000-2.980.000-1.747.000454.000-2.269.0001.317.000-2.241.000-3.197.000370.000-1.191.000-5.898.000-4.335.000-7.070.360,58-5.038.724,91-7.361.505,69-7.177.210,8-4.936.516-5.689.148,92-2.945.566,528-8.512.553,18-1.493.215,971
Freier Cashflow
-1.121.000-451.000-1.696.000-9.664.0001.016.0006.594.0001.504.0002.417.0005.345.0006.775.0004.627.0004.171.000-36.0002.014.000-2.045.0004.459.0006.074.0001.791.0001.916.000893.0001.222.0004.094.417,852.832.036,547.578.787,445.291.228,41.689.807,44.215.761,55942.386,6484.291.629,704-830.863,608
Freie Cashflow Marge
-0,85%-0,33%-1,26%-7,16%0,81%5,69%1,26%1,95%4,38%5,59%3,75%3,72%-0,03%1,83%-2,01%4,19%5,57%1,71%1,83%0,86%0,94%3,37%2,28%5,68%3,9%1,35%3,53%0,8%3,78%-0,76%
Ausgeschüttete Dividenden
----2.521.000-2.299.000-2.012.000-2.443.000-2.385.000-2.155.000-1.868.000-1.870.000-1.861.000-1.860.000-1.868.000-1.850.000-1.138.000--1.204.000-1.126.000-2.222.000-2.038.000-2.003.934,59-1.890.420,33-1.486.207,17-1.362.098,4-1.291.088,8-1.098.653,01-915.623,516-919.180,964-914.087,529
Neuausgabe und Rückkäufe von Stammaktien
----2.138.000-5.780.000280.0003.696.0002.687.000616.000-31.000---2.244.000------1.463.00044.623,5-3.175.670,43-1.667.595,12-1.703.488,92-1.749.772,56-3.218.228,7----

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