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TNIEF TONIES SE

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  • 7.500
  • 0.0000.00%
15min DelayClose Dec 19 16:00 ET
908.88MMarket Cap-27.88P/E (TTM)

TONIES SE Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2023
(FY)Dec 31, 2022
(FY)Dec 31, 2021
(Q2)Jun 30, 2021
(FY)Dec 31, 2020
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
Net income from continuing operations
62.71%-11.81M
86.83%-31.66M
-1,221.46%-240.51M
---11.42M
---18.2M
Deferred tax
234.79%6.72M
33.93%-4.98M
-145.46%-7.54M
----
---3.07M
Other non cash items
65.56%-5.69M
-108.52%-16.51M
5,484.44%193.84M
--1.59M
--3.47M
Change In working capital
91.36%-5.47M
-648.45%-63.31M
12.25%11.54M
--1.5M
--10.28M
-Change in receivables
-14.41%-14.28M
-128.55%-12.48M
-2,776.96%-5.46M
----
--204K
-Change in inventory
115.63%8.25M
-523.43%-52.79M
18.33%-8.47M
----
---10.37M
-Change in other current assets
-639.87%-6.61M
117.17%1.22M
-2,383.62%-7.13M
----
---287K
-Change in other current liabilities
695.39%10.08M
-113.60%-1.69M
106.71%12.45M
----
--6.02M
Cash from discontinued investing activities
Operating cash flow
110.95%8.14M
-181.44%-74.38M
-804.21%-26.43M
--21.64K
--3.75M
Investing cash flow
Cash flow from continuing investing activities
Capital expenditure reported
---1.42M
--0
----
----
----
Net PPE purchase and sale
-18.39%-4.03M
-2.90%-3.4M
4.39%-3.31M
----
---3.46M
Net intangibles purchase and sale
25.61%-7.55M
-80.20%-10.15M
-33.66%-5.63M
----
---4.21M
Net other investing changes
--1K
----
----
----
----
Cash from discontinued investing activities
Investing cash flow
4.75%-12.91M
-51.59%-13.55M
-16.50%-8.94M
----
---7.67M
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt
55.15%15M
115.42%9.67M
-1,463.32%-62.69M
----
---4.01M
Net common stock issuance
--0
-68.63%60M
1,736.66%191.29M
--304.86M
--10.42M
Net other financing activities
100.09%1K
94.09%-1.15M
---19.46M
----
----
Cash from discontinued financing activities
Financing cash flow
-82.76%11.59M
-34.41%67.24M
1,584.16%102.52M
--304.86M
--6.09M
Net cash flow
Beginning cash position
-27.35%54.92M
732.61%75.59M
32.56%9.08M
----
--6.85M
Current changes in cash
133.00%6.83M
-130.82%-20.7M
2,998.62%67.15M
--304.89M
--2.17M
Effect of exchange rate changes
-11,809.52%-2.46M
103.32%21K
-1,103.17%-632K
----
--63K
End cash Position
7.96%59.29M
-27.35%54.92M
732.61%75.59M
--3.63M
--9.08M
Free cash flow
94.48%-4.85M
-148.62%-87.93M
-802.24%-35.37M
--21.64K
---3.92M
Currency Unit
EUR
EUR
EUR
EUR
EUR
(FY)Dec 31, 2023(FY)Dec 31, 2022(FY)Dec 31, 2021(Q2)Jun 30, 2021(FY)Dec 31, 2020
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
Net income from continuing operations 62.71%-11.81M86.83%-31.66M-1,221.46%-240.51M---11.42M---18.2M
Deferred tax 234.79%6.72M33.93%-4.98M-145.46%-7.54M-------3.07M
Other non cash items 65.56%-5.69M-108.52%-16.51M5,484.44%193.84M--1.59M--3.47M
Change In working capital 91.36%-5.47M-648.45%-63.31M12.25%11.54M--1.5M--10.28M
-Change in receivables -14.41%-14.28M-128.55%-12.48M-2,776.96%-5.46M------204K
-Change in inventory 115.63%8.25M-523.43%-52.79M18.33%-8.47M-------10.37M
-Change in other current assets -639.87%-6.61M117.17%1.22M-2,383.62%-7.13M-------287K
-Change in other current liabilities 695.39%10.08M-113.60%-1.69M106.71%12.45M------6.02M
Cash from discontinued investing activities
Operating cash flow 110.95%8.14M-181.44%-74.38M-804.21%-26.43M--21.64K--3.75M
Investing cash flow
Cash flow from continuing investing activities
Capital expenditure reported ---1.42M--0------------
Net PPE purchase and sale -18.39%-4.03M-2.90%-3.4M4.39%-3.31M-------3.46M
Net intangibles purchase and sale 25.61%-7.55M-80.20%-10.15M-33.66%-5.63M-------4.21M
Net other investing changes --1K----------------
Cash from discontinued investing activities
Investing cash flow 4.75%-12.91M-51.59%-13.55M-16.50%-8.94M-------7.67M
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt 55.15%15M115.42%9.67M-1,463.32%-62.69M-------4.01M
Net common stock issuance --0-68.63%60M1,736.66%191.29M--304.86M--10.42M
Net other financing activities 100.09%1K94.09%-1.15M---19.46M--------
Cash from discontinued financing activities
Financing cash flow -82.76%11.59M-34.41%67.24M1,584.16%102.52M--304.86M--6.09M
Net cash flow
Beginning cash position -27.35%54.92M732.61%75.59M32.56%9.08M------6.85M
Current changes in cash 133.00%6.83M-130.82%-20.7M2,998.62%67.15M--304.89M--2.17M
Effect of exchange rate changes -11,809.52%-2.46M103.32%21K-1,103.17%-632K------63K
End cash Position 7.96%59.29M-27.35%54.92M732.61%75.59M--3.63M--9.08M
Free cash flow 94.48%-4.85M-148.62%-87.93M-802.24%-35.37M--21.64K---3.92M
Currency Unit EUREUREUREUREUR
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