US Stock MarketDetailed Quotes

AHEXY Adecco Group AG Unsponsored ADR

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  • 14.130
  • -0.470-3.22%
15min DelayClose Nov 8 16:00 ET
4.76BMarket Cap14.54P/E (TTM)

Adecco Group AG Unsponsored ADR Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
Net income from continuing operations
-7.94%58M
-20.65%73M
-5.22%327M
4.62%68M
-5.45%104M
-17.11%63M
-2.13%92M
-41.33%345M
-64.67%65M
-17.91%110M
Deferred tax
----
----
67.95%-25M
----
----
----
----
-100.00%-78M
----
----
Other non cash items
----
----
293.75%31M
--2M
20.00%12M
177.78%14M
137.50%3M
-260.00%-16M
--0
-77.78%10M
Change In working capital
184.13%53M
26.71%-203M
-231.58%-63M
-51.14%172M
236.36%105M
70.42%-63M
-241.98%-277M
76.25%-19M
382.19%352M
-148.39%-77M
-Change in receivables
122.95%42M
-3.48%111M
147.30%184M
262.07%188M
28.00%64M
33.45%-183M
339.58%115M
-128.82%-389M
-7.41%-116M
92.31%50M
-Change in other current assets
108.82%3M
-108.62%-121M
-105.26%-12M
-68.13%51M
160.42%29M
-162.96%-34M
-193.55%-58M
886.21%228M
107.79%160M
-26.32%-48M
Cash from discontinued investing activities
Operating cash flow
102.50%162M
42.24%-67M
3.68%563M
-30.94%317M
156.36%282M
198.77%80M
-310.91%-116M
-24.79%543M
68.75%459M
-50.89%110M
Investing cash flow
Cash flow from continuing investing activities
Capital expenditure reported
34.62%-34M
46.94%-26M
-0.47%-216M
-24.24%-82M
45.90%-33M
-4.00%-52M
-28.95%-49M
-62.88%-215M
-26.92%-66M
-125.93%-61M
Net PPE purchase and sale
----
----
1,700.00%54M
----
----
----
----
50.00%3M
----
----
Net business purchase and sale
----
----
----
----
116.67%1M
----
----
-5,828.57%-1.25B
-143.75%-14M
88.00%-6M
Net investment purchase and sale
-45.45%-16M
118.52%5M
-4,200.00%-41M
95.65%-1M
88.89%-2M
---11M
---27M
104.35%1M
---23M
---18M
Net other investing changes
----
-400.00%-10M
-160.00%-6M
----
----
----
77.78%-2M
131.25%10M
----
----
Cash from discontinued investing activities
Investing cash flow
32.26%-42M
60.26%-31M
85.55%-209M
61.11%-35M
60.00%-34M
87.45%-62M
89.96%-78M
-601.94%-1.45B
-40.63%-90M
3.41%-85M
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt
35.40%218M
33.33%12M
79.85%-186M
-235.90%-106M
-184.09%-250M
148.79%161M
101.54%9M
-176.47%-923M
129.55%78M
-105.97%-88M
Net common stock issuance
----
----
----
----
----
----
----
-103.68%-5M
--0
-102.73%-5M
Cash dividends paid
----
----
-3.18%-422M
--0
----
----
----
-12.05%-409M
--0
----
Net other financing activities
----
----
73.91%-12M
14.29%-6M
75.00%-1M
----
----
-2,400.00%-46M
-187.50%-7M
33.33%-4M
Cash from discontinued financing activities
Financing cash flow
17.29%-220M
33.33%12M
55.17%-620M
-257.75%-112M
-158.76%-251M
65.59%-266M
101.54%9M
-241.12%-1.38B
127.73%71M
-105.87%-97M
Net cash flow
Beginning cash position
-23.52%543M
-28.93%646M
-71.19%909M
-11.36%476M
-17.27%460M
-62.21%710M
-71.19%909M
101.21%3.16B
-83.13%537M
-58.85%556M
Current changes in cash
59.68%-100M
53.51%-86M
88.36%-266M
-61.36%170M
95.83%-3M
81.60%-248M
85.83%-185M
-252.81%-2.29B
1,016.67%440M
-104.03%-72M
Effect of exchange rate changes
400.00%6M
-21.43%-17M
-92.50%3M
--0
-64.15%19M
-108.00%-2M
-146.67%-14M
-56.04%40M
-440.00%-68M
20.45%53M
End cash Position
-2.39%449M
-23.52%543M
-28.93%646M
-28.93%646M
-11.36%476M
-17.27%460M
-62.21%710M
-71.19%909M
-71.19%909M
-83.13%537M
Free cash flow
357.14%128M
43.64%-93M
5.79%347M
-40.20%235M
408.16%249M
121.37%28M
-1,070.59%-165M
-44.41%328M
78.64%393M
-75.13%49M
Currency Unit
EUR
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EUR
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EUR
EUR
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EUR
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(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
Net income from continuing operations -7.94%58M-20.65%73M-5.22%327M4.62%68M-5.45%104M-17.11%63M-2.13%92M-41.33%345M-64.67%65M-17.91%110M
Deferred tax --------67.95%-25M-----------------100.00%-78M--------
Other non cash items --------293.75%31M--2M20.00%12M177.78%14M137.50%3M-260.00%-16M--0-77.78%10M
Change In working capital 184.13%53M26.71%-203M-231.58%-63M-51.14%172M236.36%105M70.42%-63M-241.98%-277M76.25%-19M382.19%352M-148.39%-77M
-Change in receivables 122.95%42M-3.48%111M147.30%184M262.07%188M28.00%64M33.45%-183M339.58%115M-128.82%-389M-7.41%-116M92.31%50M
-Change in other current assets 108.82%3M-108.62%-121M-105.26%-12M-68.13%51M160.42%29M-162.96%-34M-193.55%-58M886.21%228M107.79%160M-26.32%-48M
Cash from discontinued investing activities
Operating cash flow 102.50%162M42.24%-67M3.68%563M-30.94%317M156.36%282M198.77%80M-310.91%-116M-24.79%543M68.75%459M-50.89%110M
Investing cash flow
Cash flow from continuing investing activities
Capital expenditure reported 34.62%-34M46.94%-26M-0.47%-216M-24.24%-82M45.90%-33M-4.00%-52M-28.95%-49M-62.88%-215M-26.92%-66M-125.93%-61M
Net PPE purchase and sale --------1,700.00%54M----------------50.00%3M--------
Net business purchase and sale ----------------116.67%1M---------5,828.57%-1.25B-143.75%-14M88.00%-6M
Net investment purchase and sale -45.45%-16M118.52%5M-4,200.00%-41M95.65%-1M88.89%-2M---11M---27M104.35%1M---23M---18M
Net other investing changes -----400.00%-10M-160.00%-6M------------77.78%-2M131.25%10M--------
Cash from discontinued investing activities
Investing cash flow 32.26%-42M60.26%-31M85.55%-209M61.11%-35M60.00%-34M87.45%-62M89.96%-78M-601.94%-1.45B-40.63%-90M3.41%-85M
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt 35.40%218M33.33%12M79.85%-186M-235.90%-106M-184.09%-250M148.79%161M101.54%9M-176.47%-923M129.55%78M-105.97%-88M
Net common stock issuance -----------------------------103.68%-5M--0-102.73%-5M
Cash dividends paid ---------3.18%-422M--0-------------12.05%-409M--0----
Net other financing activities --------73.91%-12M14.29%-6M75.00%-1M---------2,400.00%-46M-187.50%-7M33.33%-4M
Cash from discontinued financing activities
Financing cash flow 17.29%-220M33.33%12M55.17%-620M-257.75%-112M-158.76%-251M65.59%-266M101.54%9M-241.12%-1.38B127.73%71M-105.87%-97M
Net cash flow
Beginning cash position -23.52%543M-28.93%646M-71.19%909M-11.36%476M-17.27%460M-62.21%710M-71.19%909M101.21%3.16B-83.13%537M-58.85%556M
Current changes in cash 59.68%-100M53.51%-86M88.36%-266M-61.36%170M95.83%-3M81.60%-248M85.83%-185M-252.81%-2.29B1,016.67%440M-104.03%-72M
Effect of exchange rate changes 400.00%6M-21.43%-17M-92.50%3M--0-64.15%19M-108.00%-2M-146.67%-14M-56.04%40M-440.00%-68M20.45%53M
End cash Position -2.39%449M-23.52%543M-28.93%646M-28.93%646M-11.36%476M-17.27%460M-62.21%710M-71.19%909M-71.19%909M-83.13%537M
Free cash flow 357.14%128M43.64%-93M5.79%347M-40.20%235M408.16%249M121.37%28M-1,070.59%-165M-44.41%328M78.64%393M-75.13%49M
Currency Unit EUREUREUREUREUREUREUREUREUREUR

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