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CFRHF COMPAGNIE FINANCIERE RICHEMONT SA.

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  • 153.800
  • +0.050+0.03%
15min DelayClose Dec 26 16:00 ET
90.03BMarket Cap65.95P/E (TTM)

COMPAGNIE FINANCIERE RICHEMONT SA. Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Mar 31, 2024
(FY)Mar 31, 2023
(FY)Mar 31, 2022
(FY)Mar 31, 2021
(FY)Mar 31, 2020
(FY)Mar 31, 2019
(FY)Mar 31, 2018
(FY)Mar 31, 2017
(FY)Mar 31, 2016
(FY)Mar 31, 2015
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
Net income from continuing operations
141.31%3.36B
-58.94%1.39B
129.36%3.39B
-2.64%1.48B
-21.87%1.52B
5.37%1.94B
4.54%1.84B
-10.46%1.76B
-26.24%1.97B
10.42%2.67B
Other non cash items
13.92%90M
27.42%79M
338.46%62M
-168.42%-26M
-46.48%38M
4.41%71M
126.67%68M
-3.23%30M
29.17%31M
20.00%24M
Change In working capital
44.22%-651M
-1,540.74%-1.17B
-84.69%81M
261.77%529M
34.99%-327M
-298.03%-503M
193.38%254M
-70.00%-272M
71.83%-160M
-56,900.00%-568M
-Change in receivables
53.64%-70M
-143.55%-151M
56.03%-62M
-177.90%-141M
441.51%181M
31.17%-53M
-263.83%-77M
361.11%47M
75.34%-18M
-52.08%-73M
-Change in inventory
23.53%-754M
-134.76%-986M
-328.26%-420M
193.88%184M
29.50%-196M
-1,837.50%-278M
-86.99%16M
188.49%123M
72.53%-139M
-251.39%-506M
-Change in other current assets
184.27%209M
-72.22%-248M
-7,100.00%-144M
-103.85%-2M
171.23%52M
-2,333.33%-73M
99.15%-3M
-232.08%-352M
-2,020.00%-106M
-102.86%-5M
-Change in other current liabilities
-116.51%-36M
-69.17%218M
44.88%707M
234.07%488M
-267.68%-364M
-131.13%-99M
453.33%318M
-187.38%-90M
543.75%103M
-11.11%16M
Cash from discontinued investing activities
Operating cash flow
4.56%4.7B
-3.17%4.49B
44.13%4.64B
35.78%3.22B
16.98%2.37B
-15.02%2.03B
47.25%2.38B
-17.57%1.62B
15.26%1.96B
-31.68%1.7B
Investing cash flow
Cash flow from continuing investing activities
Capital expenditure reported
-266.67%-11M
25.00%-3M
---4M
--0
---2M
--0
----
----
----
----
Net PPE purchase and sale
-3.22%-865M
-13.86%-838M
-97.85%-736M
34.51%-372M
10.27%-568M
-45.18%-633M
16.31%-436M
15.01%-521M
-4.79%-613M
-7.93%-585M
Net intangibles purchase and sale
-10.48%-137M
-5.98%-124M
7.87%-117M
23.03%-127M
0.00%-165M
-385.29%-165M
30.61%-34M
37.97%-49M
24.04%-79M
-6.12%-104M
Net business purchase and sale
16.14%-317M
-60.85%-378M
-1,482.35%-235M
106.91%17M
90.80%-246M
-1,454.07%-2.67B
-155.13%-172M
312.24%312M
-14.84%-147M
-197.67%-128M
Net investment purchase and sale
-72.16%-1.18B
34.29%-686M
22.38%-1.04B
-855.62%-1.35B
-75.10%178M
139.01%715M
-840.00%-1.83B
53.68%-195M
-1,351.72%-421M
77.17%-29M
Net other investing changes
-2.27%-45M
80.70%-44M
37.87%-228M
-1,831.58%-367M
0.00%-19M
96.89%-19M
-2,677.27%-611M
18.52%-22M
44.90%-27M
-40.00%-49M
Cash from discontinued investing activities
Investing cash flow
-23.30%-2.56B
9.00%-2.07B
-3.78%-2.28B
-165.74%-2.2B
70.89%-826M
13.97%-2.84B
-594.53%-3.3B
63.09%-475M
-275.22%-1.29B
59.46%-343M
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt
400.00%6M
86.67%-2M
-100.75%-15M
644.38%1.99B
-16.99%-365M
-107.98%-312M
13,133.33%3.91B
70.00%-30M
-233.33%-100M
219.05%75M
Net common stock issuance
414.14%1.02B
2,575.00%198M
-147.06%-8M
30.77%17M
117.57%13M
-4.23%-74M
-47.92%-71M
48.94%-48M
-44.62%-94M
-171.43%-65M
Cash dividends paid
-11.94%-2.07B
-77.81%-1.85B
-96.79%-1.04B
47.98%-529M
-9.83%-1.02B
-0.87%-926M
-4.56%-918M
-2.81%-878M
-31.38%-854M
-43.81%-650M
Net other financing activities
----
135.21%25M
---71M
----
124.64%34M
-181.63%-138M
---49M
----
---152M
----
Cash from discontinued financing activities
Financing cash flow
21.40%-1.82B
-31.18%-2.32B
-295.03%-1.77B
147.11%906M
-32.07%-1.92B
-151.03%-1.46B
397.81%2.85B
20.23%-958M
-87.07%-1.2B
-50.70%-642M
Net cash flow
Beginning cash position
1.49%4.64B
20.85%4.57B
90.43%3.78B
-15.42%1.99B
-47.89%2.35B
62.89%4.5B
8.52%2.77B
-19.16%2.55B
42.37%3.15B
123.64%2.21B
Current changes in cash
218.00%318M
-83.14%100M
-69.26%593M
608.97%1.93B
83.29%-379M
-217.03%-2.27B
941.94%1.94B
135.50%186M
-172.88%-524M
-41.16%719M
Effect of exchange rate changes
-50.00%-48M
-116.41%-32M
245.52%195M
-888.24%-134M
-84.68%17M
155.78%111M
-741.94%-199M
138.75%31M
-136.53%-80M
10,850.00%219M
End cash Position
5.82%4.91B
1.49%4.64B
20.85%4.57B
90.43%3.78B
-15.42%1.99B
-47.89%2.35B
62.89%4.5B
8.52%2.77B
-19.16%2.55B
42.37%3.15B
Free cash flow
4.79%3.68B
-6.80%3.51B
39.11%3.76B
65.65%2.71B
36.08%1.63B
-36.74%1.2B
85.98%1.9B
-18.66%1.02B
25.90%1.25B
-45.24%996M
Currency Unit
EUR
EUR
EUR
EUR
EUR
EUR
EUR
EUR
EUR
EUR
(FY)Mar 31, 2024(FY)Mar 31, 2023(FY)Mar 31, 2022(FY)Mar 31, 2021(FY)Mar 31, 2020(FY)Mar 31, 2019(FY)Mar 31, 2018(FY)Mar 31, 2017(FY)Mar 31, 2016(FY)Mar 31, 2015
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
Net income from continuing operations 141.31%3.36B-58.94%1.39B129.36%3.39B-2.64%1.48B-21.87%1.52B5.37%1.94B4.54%1.84B-10.46%1.76B-26.24%1.97B10.42%2.67B
Other non cash items 13.92%90M27.42%79M338.46%62M-168.42%-26M-46.48%38M4.41%71M126.67%68M-3.23%30M29.17%31M20.00%24M
Change In working capital 44.22%-651M-1,540.74%-1.17B-84.69%81M261.77%529M34.99%-327M-298.03%-503M193.38%254M-70.00%-272M71.83%-160M-56,900.00%-568M
-Change in receivables 53.64%-70M-143.55%-151M56.03%-62M-177.90%-141M441.51%181M31.17%-53M-263.83%-77M361.11%47M75.34%-18M-52.08%-73M
-Change in inventory 23.53%-754M-134.76%-986M-328.26%-420M193.88%184M29.50%-196M-1,837.50%-278M-86.99%16M188.49%123M72.53%-139M-251.39%-506M
-Change in other current assets 184.27%209M-72.22%-248M-7,100.00%-144M-103.85%-2M171.23%52M-2,333.33%-73M99.15%-3M-232.08%-352M-2,020.00%-106M-102.86%-5M
-Change in other current liabilities -116.51%-36M-69.17%218M44.88%707M234.07%488M-267.68%-364M-131.13%-99M453.33%318M-187.38%-90M543.75%103M-11.11%16M
Cash from discontinued investing activities
Operating cash flow 4.56%4.7B-3.17%4.49B44.13%4.64B35.78%3.22B16.98%2.37B-15.02%2.03B47.25%2.38B-17.57%1.62B15.26%1.96B-31.68%1.7B
Investing cash flow
Cash flow from continuing investing activities
Capital expenditure reported -266.67%-11M25.00%-3M---4M--0---2M--0----------------
Net PPE purchase and sale -3.22%-865M-13.86%-838M-97.85%-736M34.51%-372M10.27%-568M-45.18%-633M16.31%-436M15.01%-521M-4.79%-613M-7.93%-585M
Net intangibles purchase and sale -10.48%-137M-5.98%-124M7.87%-117M23.03%-127M0.00%-165M-385.29%-165M30.61%-34M37.97%-49M24.04%-79M-6.12%-104M
Net business purchase and sale 16.14%-317M-60.85%-378M-1,482.35%-235M106.91%17M90.80%-246M-1,454.07%-2.67B-155.13%-172M312.24%312M-14.84%-147M-197.67%-128M
Net investment purchase and sale -72.16%-1.18B34.29%-686M22.38%-1.04B-855.62%-1.35B-75.10%178M139.01%715M-840.00%-1.83B53.68%-195M-1,351.72%-421M77.17%-29M
Net other investing changes -2.27%-45M80.70%-44M37.87%-228M-1,831.58%-367M0.00%-19M96.89%-19M-2,677.27%-611M18.52%-22M44.90%-27M-40.00%-49M
Cash from discontinued investing activities
Investing cash flow -23.30%-2.56B9.00%-2.07B-3.78%-2.28B-165.74%-2.2B70.89%-826M13.97%-2.84B-594.53%-3.3B63.09%-475M-275.22%-1.29B59.46%-343M
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt 400.00%6M86.67%-2M-100.75%-15M644.38%1.99B-16.99%-365M-107.98%-312M13,133.33%3.91B70.00%-30M-233.33%-100M219.05%75M
Net common stock issuance 414.14%1.02B2,575.00%198M-147.06%-8M30.77%17M117.57%13M-4.23%-74M-47.92%-71M48.94%-48M-44.62%-94M-171.43%-65M
Cash dividends paid -11.94%-2.07B-77.81%-1.85B-96.79%-1.04B47.98%-529M-9.83%-1.02B-0.87%-926M-4.56%-918M-2.81%-878M-31.38%-854M-43.81%-650M
Net other financing activities ----135.21%25M---71M----124.64%34M-181.63%-138M---49M-------152M----
Cash from discontinued financing activities
Financing cash flow 21.40%-1.82B-31.18%-2.32B-295.03%-1.77B147.11%906M-32.07%-1.92B-151.03%-1.46B397.81%2.85B20.23%-958M-87.07%-1.2B-50.70%-642M
Net cash flow
Beginning cash position 1.49%4.64B20.85%4.57B90.43%3.78B-15.42%1.99B-47.89%2.35B62.89%4.5B8.52%2.77B-19.16%2.55B42.37%3.15B123.64%2.21B
Current changes in cash 218.00%318M-83.14%100M-69.26%593M608.97%1.93B83.29%-379M-217.03%-2.27B941.94%1.94B135.50%186M-172.88%-524M-41.16%719M
Effect of exchange rate changes -50.00%-48M-116.41%-32M245.52%195M-888.24%-134M-84.68%17M155.78%111M-741.94%-199M138.75%31M-136.53%-80M10,850.00%219M
End cash Position 5.82%4.91B1.49%4.64B20.85%4.57B90.43%3.78B-15.42%1.99B-47.89%2.35B62.89%4.5B8.52%2.77B-19.16%2.55B42.37%3.15B
Free cash flow 4.79%3.68B-6.80%3.51B39.11%3.76B65.65%2.71B36.08%1.63B-36.74%1.2B85.98%1.9B-18.66%1.02B25.90%1.25B-45.24%996M
Currency Unit EUREUREUREUREUREUREUREUREUREUR
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