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SIGNIFY NV (SFFYF)

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  • 20.500
  • 0.0000.00%
15min DelayClose Mar 31 10:19 ET
2.44BMarket Cap8.57P/E (TTM)

SIGNIFY NV (SFFYF) Cash Flow

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2025
(Q4)Dec 31, 2025
(Q3)Sep 30, 2025
(Q2)Jun 30, 2025
(Q1)Mar 31, 2025
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
Net income from continuing operations
-22.46%259M
-49.58%60M
-29.63%76M
-9.52%57M
52.27%67M
55.35%334M
101.69%119M
30.12%108M
40.00%63M
57.14%44M
Deferred tax
3.33%62M
-40.54%22M
350.00%27M
-30.77%9M
0.00%4M
13.21%60M
208.33%37M
-76.92%6M
8.33%13M
33.33%4M
Other non cash items
-34.95%67M
-45.83%13M
-29.17%17M
-12.00%22M
-50.00%15M
-3.74%103M
0.00%24M
4.35%24M
-19.35%25M
3.45%30M
Change In working capital
-22.92%37M
105.13%160M
-127.78%-41M
-61.11%-29M
-1,450.00%-54M
-46.67%48M
-37.10%78M
-200.00%-18M
-125.00%-18M
109.09%4M
-Change in receivables
3,333.33%103M
671.43%80M
20.45%-35M
-4.17%-25M
-1.19%83M
-94.00%3M
-126.92%-14M
39.73%-44M
-260.00%-24M
52.73%84M
-Change in inventory
-37.14%22M
5.68%93M
40.48%-25M
-285.71%-27M
-280.00%-19M
-86.89%35M
-43.95%88M
-168.85%-42M
-117.50%-7M
-155.56%-5M
-Change in other current assets
238.89%25M
23.53%21M
330.00%23M
30.00%-14M
0.00%-5M
-140.00%-18M
-32.00%17M
-1,100.00%-10M
-122.22%-20M
-117.86%-5M
Cash from discontinued investing activities
Operating cash flow
3.31%531M
43.41%294M
-24.26%103M
-2.86%68M
-36.89%65M
-26.15%514M
-36.53%205M
-25.68%136M
-35.78%70M
25.61%103M
Investing cash flow
Cash flow from continuing investing activities
Capital expenditure reported
-33.33%-132M
-37.93%-40M
-33.33%-32M
-61.90%-34M
-12.50%-27M
16.10%-99M
3.33%-29M
22.58%-24M
19.23%-21M
20.00%-24M
Net PPE purchase and sale
81.82%40M
208.33%37M
--0
100.00%2M
0.00%2M
175.00%22M
500.00%12M
--7M
-80.00%1M
--2M
Net business purchase and sale
-175.00%-6M
-200.00%-8M
---2M
--0
--5M
161.54%8M
166.67%8M
--0
--0
--0
Net investment purchase and sale
-225.00%-13M
0.00%5M
111.11%1M
-260.00%-18M
-120.00%-1M
-157.14%-4M
350.00%5M
-800.00%-9M
-66.67%-5M
-61.54%5M
Net other investing changes
0.00%1M
----
----
----
----
0.00%1M
0.00%1M
1,600.00%17M
----
----
Cash from discontinued investing activities
Investing cash flow
-52.78%-110M
-100.00%-6M
-26.92%-33M
-100.00%-50M
-23.53%-21M
37.39%-72M
88.46%-3M
21.21%-26M
0.00%-25M
45.16%-17M
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt
92.00%-58M
85.47%-26M
-9.09%-12M
98.27%-12M
-105.66%-9M
-583.33%-725M
-187.75%-179M
31.25%-11M
-4,526.67%-694M
822.73%159M
Net common stock issuance
-1,000.00%-154M
---36M
---53M
-207.14%-43M
---23M
-100.00%-14M
--0
--0
---14M
--0
Cash dividends paid
8.14%-203M
72.22%-5M
----
-18.67%-197M
---1M
-5.24%-221M
-50.00%-18M
-23.33%-37M
1.19%-166M
----
Net other financing activities
----
0.00%1M
----
----
----
---10M
--1M
--1M
-1,000.00%-11M
----
Cash from discontinued financing activities
Financing cash flow
57.22%-415M
66.33%-66M
-38.30%-65M
71.53%-252M
-120.75%-33M
-1,347.76%-970M
-202.08%-196M
11.32%-47M
-380.98%-885M
822.73%159M
Net cash flow
Beginning cash position
-45.34%633M
-34.97%398M
-30.21%395M
-54.07%644M
-45.34%633M
71.30%1.16B
-11.05%612M
-2.92%566M
102.31%1.4B
71.30%1.16B
Current changes in cash
101.14%6M
3,600.00%222M
-92.06%5M
72.14%-234M
-95.51%11M
-202.72%-528M
-98.77%6M
-35.05%63M
-740.00%-840M
744.83%245M
Effect of exchange rate changes
-1,000.00%-18M
--0
81.25%-3M
-475.00%-15M
--0
106.45%2M
183.33%15M
-300.00%-16M
144.44%4M
--0
End cash Position
-1.90%621M
-1.90%621M
-34.97%398M
-30.21%395M
-54.07%644M
-45.34%633M
-45.34%633M
-11.05%612M
-2.92%566M
102.31%1.4B
Free cash flow
-3.86%399M
44.32%254M
-36.61%71M
-30.61%34M
-51.90%38M
-28.20%415M
-39.93%176M
-26.32%112M
-40.96%49M
51.92%79M
Currency Unit
EUR
EUR
EUR
EUR
EUR
EUR
EUR
EUR
EUR
EUR
Accounting Standards
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
(FY)Dec 31, 2025(Q4)Dec 31, 2025(Q3)Sep 30, 2025(Q2)Jun 30, 2025(Q1)Mar 31, 2025(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
Net income from continuing operations -22.46%259M-49.58%60M-29.63%76M-9.52%57M52.27%67M55.35%334M101.69%119M30.12%108M40.00%63M57.14%44M
Deferred tax 3.33%62M-40.54%22M350.00%27M-30.77%9M0.00%4M13.21%60M208.33%37M-76.92%6M8.33%13M33.33%4M
Other non cash items -34.95%67M-45.83%13M-29.17%17M-12.00%22M-50.00%15M-3.74%103M0.00%24M4.35%24M-19.35%25M3.45%30M
Change In working capital -22.92%37M105.13%160M-127.78%-41M-61.11%-29M-1,450.00%-54M-46.67%48M-37.10%78M-200.00%-18M-125.00%-18M109.09%4M
-Change in receivables 3,333.33%103M671.43%80M20.45%-35M-4.17%-25M-1.19%83M-94.00%3M-126.92%-14M39.73%-44M-260.00%-24M52.73%84M
-Change in inventory -37.14%22M5.68%93M40.48%-25M-285.71%-27M-280.00%-19M-86.89%35M-43.95%88M-168.85%-42M-117.50%-7M-155.56%-5M
-Change in other current assets 238.89%25M23.53%21M330.00%23M30.00%-14M0.00%-5M-140.00%-18M-32.00%17M-1,100.00%-10M-122.22%-20M-117.86%-5M
Cash from discontinued investing activities
Operating cash flow 3.31%531M43.41%294M-24.26%103M-2.86%68M-36.89%65M-26.15%514M-36.53%205M-25.68%136M-35.78%70M25.61%103M
Investing cash flow
Cash flow from continuing investing activities
Capital expenditure reported -33.33%-132M-37.93%-40M-33.33%-32M-61.90%-34M-12.50%-27M16.10%-99M3.33%-29M22.58%-24M19.23%-21M20.00%-24M
Net PPE purchase and sale 81.82%40M208.33%37M--0100.00%2M0.00%2M175.00%22M500.00%12M--7M-80.00%1M--2M
Net business purchase and sale -175.00%-6M-200.00%-8M---2M--0--5M161.54%8M166.67%8M--0--0--0
Net investment purchase and sale -225.00%-13M0.00%5M111.11%1M-260.00%-18M-120.00%-1M-157.14%-4M350.00%5M-800.00%-9M-66.67%-5M-61.54%5M
Net other investing changes 0.00%1M----------------0.00%1M0.00%1M1,600.00%17M--------
Cash from discontinued investing activities
Investing cash flow -52.78%-110M-100.00%-6M-26.92%-33M-100.00%-50M-23.53%-21M37.39%-72M88.46%-3M21.21%-26M0.00%-25M45.16%-17M
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt 92.00%-58M85.47%-26M-9.09%-12M98.27%-12M-105.66%-9M-583.33%-725M-187.75%-179M31.25%-11M-4,526.67%-694M822.73%159M
Net common stock issuance -1,000.00%-154M---36M---53M-207.14%-43M---23M-100.00%-14M--0--0---14M--0
Cash dividends paid 8.14%-203M72.22%-5M-----18.67%-197M---1M-5.24%-221M-50.00%-18M-23.33%-37M1.19%-166M----
Net other financing activities ----0.00%1M---------------10M--1M--1M-1,000.00%-11M----
Cash from discontinued financing activities
Financing cash flow 57.22%-415M66.33%-66M-38.30%-65M71.53%-252M-120.75%-33M-1,347.76%-970M-202.08%-196M11.32%-47M-380.98%-885M822.73%159M
Net cash flow
Beginning cash position -45.34%633M-34.97%398M-30.21%395M-54.07%644M-45.34%633M71.30%1.16B-11.05%612M-2.92%566M102.31%1.4B71.30%1.16B
Current changes in cash 101.14%6M3,600.00%222M-92.06%5M72.14%-234M-95.51%11M-202.72%-528M-98.77%6M-35.05%63M-740.00%-840M744.83%245M
Effect of exchange rate changes -1,000.00%-18M--081.25%-3M-475.00%-15M--0106.45%2M183.33%15M-300.00%-16M144.44%4M--0
End cash Position -1.90%621M-1.90%621M-34.97%398M-30.21%395M-54.07%644M-45.34%633M-45.34%633M-11.05%612M-2.92%566M102.31%1.4B
Free cash flow -3.86%399M44.32%254M-36.61%71M-30.61%34M-51.90%38M-28.20%415M-39.93%176M-26.32%112M-40.96%49M51.92%79M
Currency Unit EUREUREUREUREUREUREUREUREUREUR
Accounting Standards NonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAP
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