US Stock MarketDetailed Quotes

NXPRF NEXANS SA

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  • 112.480
  • 0.0000.00%
15min DelayClose Dec 2 16:00 ET
4.90BMarket Cap18.55P/E (TTM)

NEXANS SA Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2023
(FY)Dec 31, 2022
(FY)Dec 31, 2021
(FY)Dec 31, 2020
(FY)Dec 31, 2019
(FY)Dec 31, 2018
(FY)Dec 31, 2017
(FY)Dec 31, 2016
(FY)Dec 31, 2015
(FY)Dec 31, 2014
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
Net income from continuing operations
-10.08%223M
51.22%248M
105.00%164M
167.80%80M
-1,007.69%-118M
-89.76%13M
111.67%127M
130.61%60M
-15.29%-196M
48.48%-170M
Deferred tax
-24.44%68M
25.00%90M
-35.14%72M
152.27%111M
0.00%44M
-51.65%44M
145.95%91M
48.00%37M
--25M
----
Other non cash items
0.00%96M
231.51%96M
18.89%-73M
-147.62%-90M
9,550.00%189M
93.75%-2M
-390.91%-32M
-90.09%11M
482.76%111M
-110.78%-29M
Change In working capital
155.34%263M
-11.97%103M
-67.77%117M
548.21%363M
-52.14%56M
207.34%117M
-3.81%-109M
-128.85%-105M
366.67%364M
-1.27%78M
-Change in receivables
132.56%42M
-101.56%-129M
-171.91%-64M
790.00%89M
-82.76%10M
192.06%58M
54.01%-63M
-199.28%-137M
133.90%138M
-7.81%59M
-Change in inventory
170.71%70M
62.64%-99M
-277.85%-265M
747.83%149M
28.13%-23M
80.37%-32M
-201.85%-163M
-138.85%-54M
447.50%139M
-122.22%-40M
Cash from discontinued investing activities
Operating cash flow
28.68%700M
35.66%544M
-12.06%401M
52.00%456M
14.07%300M
59.39%263M
26.92%165M
-77.59%130M
387.39%580M
-53.70%119M
Investing cash flow
Cash flow from continuing investing activities
Capital expenditure reported
-26.51%-377M
---298M
----
----
-14.98%-238M
-22.49%-207M
-15.75%-169M
17.05%-146M
-9.32%-176M
17.01%-161M
Net PPE purchase and sale
-90.32%6M
132.29%62M
8.13%-192M
-1,841.67%-209M
-76.47%12M
537.50%51M
-27.27%8M
83.33%11M
-70.00%6M
300.00%20M
Net business purchase and sale
76.96%-47M
-6,900.00%-204M
-98.04%3M
7,750.00%153M
84.62%-2M
45.83%-13M
-204.35%-24M
1,250.00%23M
85.71%-2M
-133.33%-14M
Net other investing changes
--1M
----
200.00%1M
-200.00%-1M
0.00%1M
200.00%1M
---1M
----
----
----
Cash from discontinued investing activities
Investing cash flow
-2.56%-440M
-134.43%-429M
-84.85%-183M
56.58%-99M
-44.30%-228M
17.28%-158M
-72.07%-191M
35.84%-111M
-13.82%-173M
25.85%-152M
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt
-129.29%-58M
164.92%198M
-239.91%-305M
183.52%218M
-396.59%-261M
197.78%88M
-629.41%-90M
123.61%17M
2.70%-72M
33.33%-74M
Net common stock issuance
81.25%-6M
-220.00%-32M
-242.86%-10M
--7M
--0
-42.86%-10M
-129.17%-7M
166.67%24M
--9M
--0
Cash dividends paid
-72.22%-93M
-68.75%-54M
-700.00%-32M
73.33%-4M
54.55%-15M
-43.48%-33M
-2,200.00%-23M
0.00%-1M
0.00%-1M
93.33%-1M
Net other financing activities
0.00%1M
103.45%1M
-314.29%-29M
-75.00%-7M
---4M
----
50.00%3M
--2M
----
--2M
Cash from discontinued financing activities
Financing cash flow
-407.14%-215M
116.79%70M
-346.75%-417M
150.90%169M
-16,500.00%-332M
98.88%-2M
-790.00%-178M
84.96%-20M
9.52%-133M
-261.54%-147M
Net cash flow
Beginning cash position
16.63%1.13B
-14.56%968M
80.99%1.13B
-29.35%626M
11.59%886M
-21.85%794M
1.80%1.02B
26.81%998M
-18.70%787M
18.34%968M
Current changes in cash
-75.68%45M
192.96%185M
-137.83%-199M
302.31%526M
-352.43%-260M
150.49%103M
-20,300.00%-204M
-100.36%-1M
252.22%274M
-225.87%-180M
Effect of exchange rate changes
-121.43%-62M
-184.85%-28M
273.68%33M
---19M
--0
47.37%-10M
-200.00%-19M
130.16%19M
-6,200.00%-63M
-114.29%-1M
End cash Position
-1.33%1.11B
16.63%1.13B
-14.56%968M
80.99%1.13B
-29.35%626M
11.59%886M
-21.85%794M
1.80%1.02B
26.81%998M
-18.70%787M
Free cash flow
31.30%323M
26.15%246M
-15.58%195M
272.58%231M
10.71%62M
1,500.00%56M
75.00%-4M
-103.96%-16M
1,061.90%404M
-166.67%-42M
Currency Unit
EUR
EUR
EUR
EUR
EUR
EUR
EUR
EUR
EUR
EUR
(FY)Dec 31, 2023(FY)Dec 31, 2022(FY)Dec 31, 2021(FY)Dec 31, 2020(FY)Dec 31, 2019(FY)Dec 31, 2018(FY)Dec 31, 2017(FY)Dec 31, 2016(FY)Dec 31, 2015(FY)Dec 31, 2014
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
Net income from continuing operations -10.08%223M51.22%248M105.00%164M167.80%80M-1,007.69%-118M-89.76%13M111.67%127M130.61%60M-15.29%-196M48.48%-170M
Deferred tax -24.44%68M25.00%90M-35.14%72M152.27%111M0.00%44M-51.65%44M145.95%91M48.00%37M--25M----
Other non cash items 0.00%96M231.51%96M18.89%-73M-147.62%-90M9,550.00%189M93.75%-2M-390.91%-32M-90.09%11M482.76%111M-110.78%-29M
Change In working capital 155.34%263M-11.97%103M-67.77%117M548.21%363M-52.14%56M207.34%117M-3.81%-109M-128.85%-105M366.67%364M-1.27%78M
-Change in receivables 132.56%42M-101.56%-129M-171.91%-64M790.00%89M-82.76%10M192.06%58M54.01%-63M-199.28%-137M133.90%138M-7.81%59M
-Change in inventory 170.71%70M62.64%-99M-277.85%-265M747.83%149M28.13%-23M80.37%-32M-201.85%-163M-138.85%-54M447.50%139M-122.22%-40M
Cash from discontinued investing activities
Operating cash flow 28.68%700M35.66%544M-12.06%401M52.00%456M14.07%300M59.39%263M26.92%165M-77.59%130M387.39%580M-53.70%119M
Investing cash flow
Cash flow from continuing investing activities
Capital expenditure reported -26.51%-377M---298M---------14.98%-238M-22.49%-207M-15.75%-169M17.05%-146M-9.32%-176M17.01%-161M
Net PPE purchase and sale -90.32%6M132.29%62M8.13%-192M-1,841.67%-209M-76.47%12M537.50%51M-27.27%8M83.33%11M-70.00%6M300.00%20M
Net business purchase and sale 76.96%-47M-6,900.00%-204M-98.04%3M7,750.00%153M84.62%-2M45.83%-13M-204.35%-24M1,250.00%23M85.71%-2M-133.33%-14M
Net other investing changes --1M----200.00%1M-200.00%-1M0.00%1M200.00%1M---1M------------
Cash from discontinued investing activities
Investing cash flow -2.56%-440M-134.43%-429M-84.85%-183M56.58%-99M-44.30%-228M17.28%-158M-72.07%-191M35.84%-111M-13.82%-173M25.85%-152M
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt -129.29%-58M164.92%198M-239.91%-305M183.52%218M-396.59%-261M197.78%88M-629.41%-90M123.61%17M2.70%-72M33.33%-74M
Net common stock issuance 81.25%-6M-220.00%-32M-242.86%-10M--7M--0-42.86%-10M-129.17%-7M166.67%24M--9M--0
Cash dividends paid -72.22%-93M-68.75%-54M-700.00%-32M73.33%-4M54.55%-15M-43.48%-33M-2,200.00%-23M0.00%-1M0.00%-1M93.33%-1M
Net other financing activities 0.00%1M103.45%1M-314.29%-29M-75.00%-7M---4M----50.00%3M--2M------2M
Cash from discontinued financing activities
Financing cash flow -407.14%-215M116.79%70M-346.75%-417M150.90%169M-16,500.00%-332M98.88%-2M-790.00%-178M84.96%-20M9.52%-133M-261.54%-147M
Net cash flow
Beginning cash position 16.63%1.13B-14.56%968M80.99%1.13B-29.35%626M11.59%886M-21.85%794M1.80%1.02B26.81%998M-18.70%787M18.34%968M
Current changes in cash -75.68%45M192.96%185M-137.83%-199M302.31%526M-352.43%-260M150.49%103M-20,300.00%-204M-100.36%-1M252.22%274M-225.87%-180M
Effect of exchange rate changes -121.43%-62M-184.85%-28M273.68%33M---19M--047.37%-10M-200.00%-19M130.16%19M-6,200.00%-63M-114.29%-1M
End cash Position -1.33%1.11B16.63%1.13B-14.56%968M80.99%1.13B-29.35%626M11.59%886M-21.85%794M1.80%1.02B26.81%998M-18.70%787M
Free cash flow 31.30%323M26.15%246M-15.58%195M272.58%231M10.71%62M1,500.00%56M75.00%-4M-103.96%-16M1,061.90%404M-166.67%-42M
Currency Unit EUREUREUREUREUREUREUREUREUREUR
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