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TNISF TECNICAS REUNIDAS

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  • 11.415
  • 0.0000.00%
15min DelayClose Nov 19 16:00 ET
891.31MMarket Cap9.36P/E (TTM)

TECNICAS REUNIDAS 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
273.21%59.73M
82.05%-34.48M
-1,580.00%-192.13M
229.88%12.98M
-169.18%-10M
-75.50%14.45M
-54.36%58.97M
114.61%129.19M
-55.23%60.2M
4.67%134.46M
Deferred tax
173.37%43.6M
29.35%15.95M
78.68%12.33M
-89.51%6.9M
738.91%65.8M
-71.14%7.84M
-48.92%27.17M
140.16%53.2M
-29.14%22.15M
42.10%31.26M
Other non cash items
15.91%34.12M
42.27%29.44M
63.39%20.69M
-25.50%12.66M
225.34%17M
-60.87%5.23M
420.42%13.35M
-107.00%-4.17M
5.27%-2.01M
-1,509.85%-2.13M
Change In working capital
-158.17%-39.21M
166.19%67.41M
-41.27%-101.84M
-318.77%-72.09M
3.40%32.95M
115.37%31.87M
-29.62%-207.29M
-44.58%-159.92M
-181.94%-110.61M
40.20%-39.23M
-Change in receivables
160.44%360.12M
-174.04%-595.84M
-183.64%-217.43M
211.78%259.95M
-225.35%-232.56M
146.73%185.52M
-658.15%-397.04M
94.49%-52.37M
-5,651.39%-951.23M
-93.17%17.14M
-Change in inventory
233.48%1.2M
-395.74%-902K
108.44%305K
-118.91%-3.62M
473.67%19.11M
-449.41%-5.12M
-119.79%-931K
80.85%4.7M
5,680.00%2.6M
-96.79%45K
-Change in other current assets
120.55%15.23M
-1,309.78%-74.11M
-81.18%6.13M
164.06%32.56M
-491.40%-50.82M
192.70%12.98M
108.61%4.44M
29.36%-51.53M
-783.36%-72.94M
433.43%10.67M
Cash from discontinued investing activities
Operating cash flow
-0.96%83.18M
131.44%83.99M
-129.16%-267.17M
-177.11%-116.59M
40.37%151.19M
163.58%107.71M
-386.68%-169.41M
428.50%59.09M
-113.05%-17.99M
63.07%137.84M
Investing cash flow
Cash flow from continuing investing activities
Net PPE purchase and sale
-426.57%-13.97M
-11.52%-2.65M
39.53%-2.38M
70.48%-3.93M
-237.60%-13.33M
68.96%-3.95M
15.38%-12.72M
50.00%-15.03M
-50.85%-30.06M
-22.07%-19.93M
Net intangibles purchase and sale
65.14%-38K
81.71%-109K
-427.43%-596K
80.11%-113K
72.91%-568K
-79.85%-2.1M
30.14%-1.17M
78.95%-1.67M
-359.65%-7.93M
-17.51%-1.73M
Net business purchase and sale
--0
-89.84%1.54M
-45.36%15.11M
1,588.28%27.65M
292.71%1.64M
69.48%-850K
76.90%-2.79M
-493.79%-12.05M
-1.50%-2.03M
---2M
Net other investing changes
688.24%268K
-98.20%34K
-73.06%1.89M
3,081.45%7.03M
-61.50%221K
-77.42%574K
198.95%2.54M
-215.93%-2.57M
139.57%2.22M
41.44%925K
Cash from discontinued investing activities
Investing cash flow
-1,051.72%-13.74M
-108.50%-1.19M
-54.21%14.03M
354.60%30.64M
-90.41%-12.03M
55.26%-6.32M
54.90%-14.13M
17.15%-31.32M
-66.34%-37.8M
-32.61%-22.73M
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt
-154.29%-124.69M
3,012.55%229.68M
-95.33%7.38M
64.25%158.15M
41.57%96.29M
-51.89%68.01M
462.11%141.37M
--25.15M
--0
32.06%-2.56M
Net common stock issuance
41,589.17%150.08M
165.22%360K
-176.56%-552K
1,342.00%721K
103.69%50K
-15.92%-1.35M
-176.49%-1.17M
296.02%1.53M
---779K
--0
Cash dividends paid
----
----
----
2.08%-94K
99.83%-96K
23.73%-57.2M
0.03%-75M
-0.03%-75.02M
0.00%-75M
0.00%-75M
Net other financing activities
----
----
----
----
----
----
----
----
--212.04M
----
Cash from discontinued financing activities
Financing cash flow
-97.84%4.53M
1,923.74%210M
-108.87%-11.52M
91.81%129.85M
615.99%67.7M
-85.50%9.46M
234.87%65.2M
-135.48%-48.35M
275.70%136.26M
16.97%-77.56M
Net cash flow
Beginning cash position
43.91%959.68M
-28.41%666.88M
4.95%931.54M
30.38%887.63M
19.45%680.78M
-17.19%569.94M
-2.90%688.27M
12.81%708.84M
6.36%628.37M
-4.22%590.81M
Current changes in cash
-74.73%73.98M
210.63%292.8M
-702.78%-264.66M
-78.77%43.91M
86.62%206.85M
193.67%110.84M
-475.23%-118.33M
-125.56%-20.57M
114.29%80.47M
244.33%37.55M
End cash Position
7.71%1.03B
43.91%959.68M
-28.41%666.88M
4.95%931.54M
30.38%887.63M
19.45%680.78M
-17.19%569.94M
-2.90%688.27M
12.81%708.84M
6.36%628.37M
Free cash flow
-14.84%69.18M
130.07%81.23M
-123.94%-270.14M
-187.86%-120.63M
35.05%137.29M
155.47%101.66M
-532.32%-183.29M
175.74%42.4M
-148.18%-55.98M
74.10%116.18M
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 273.21%59.73M82.05%-34.48M-1,580.00%-192.13M229.88%12.98M-169.18%-10M-75.50%14.45M-54.36%58.97M114.61%129.19M-55.23%60.2M4.67%134.46M
Deferred tax 173.37%43.6M29.35%15.95M78.68%12.33M-89.51%6.9M738.91%65.8M-71.14%7.84M-48.92%27.17M140.16%53.2M-29.14%22.15M42.10%31.26M
Other non cash items 15.91%34.12M42.27%29.44M63.39%20.69M-25.50%12.66M225.34%17M-60.87%5.23M420.42%13.35M-107.00%-4.17M5.27%-2.01M-1,509.85%-2.13M
Change In working capital -158.17%-39.21M166.19%67.41M-41.27%-101.84M-318.77%-72.09M3.40%32.95M115.37%31.87M-29.62%-207.29M-44.58%-159.92M-181.94%-110.61M40.20%-39.23M
-Change in receivables 160.44%360.12M-174.04%-595.84M-183.64%-217.43M211.78%259.95M-225.35%-232.56M146.73%185.52M-658.15%-397.04M94.49%-52.37M-5,651.39%-951.23M-93.17%17.14M
-Change in inventory 233.48%1.2M-395.74%-902K108.44%305K-118.91%-3.62M473.67%19.11M-449.41%-5.12M-119.79%-931K80.85%4.7M5,680.00%2.6M-96.79%45K
-Change in other current assets 120.55%15.23M-1,309.78%-74.11M-81.18%6.13M164.06%32.56M-491.40%-50.82M192.70%12.98M108.61%4.44M29.36%-51.53M-783.36%-72.94M433.43%10.67M
Cash from discontinued investing activities
Operating cash flow -0.96%83.18M131.44%83.99M-129.16%-267.17M-177.11%-116.59M40.37%151.19M163.58%107.71M-386.68%-169.41M428.50%59.09M-113.05%-17.99M63.07%137.84M
Investing cash flow
Cash flow from continuing investing activities
Net PPE purchase and sale -426.57%-13.97M-11.52%-2.65M39.53%-2.38M70.48%-3.93M-237.60%-13.33M68.96%-3.95M15.38%-12.72M50.00%-15.03M-50.85%-30.06M-22.07%-19.93M
Net intangibles purchase and sale 65.14%-38K81.71%-109K-427.43%-596K80.11%-113K72.91%-568K-79.85%-2.1M30.14%-1.17M78.95%-1.67M-359.65%-7.93M-17.51%-1.73M
Net business purchase and sale --0-89.84%1.54M-45.36%15.11M1,588.28%27.65M292.71%1.64M69.48%-850K76.90%-2.79M-493.79%-12.05M-1.50%-2.03M---2M
Net other investing changes 688.24%268K-98.20%34K-73.06%1.89M3,081.45%7.03M-61.50%221K-77.42%574K198.95%2.54M-215.93%-2.57M139.57%2.22M41.44%925K
Cash from discontinued investing activities
Investing cash flow -1,051.72%-13.74M-108.50%-1.19M-54.21%14.03M354.60%30.64M-90.41%-12.03M55.26%-6.32M54.90%-14.13M17.15%-31.32M-66.34%-37.8M-32.61%-22.73M
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt -154.29%-124.69M3,012.55%229.68M-95.33%7.38M64.25%158.15M41.57%96.29M-51.89%68.01M462.11%141.37M--25.15M--032.06%-2.56M
Net common stock issuance 41,589.17%150.08M165.22%360K-176.56%-552K1,342.00%721K103.69%50K-15.92%-1.35M-176.49%-1.17M296.02%1.53M---779K--0
Cash dividends paid ------------2.08%-94K99.83%-96K23.73%-57.2M0.03%-75M-0.03%-75.02M0.00%-75M0.00%-75M
Net other financing activities ----------------------------------212.04M----
Cash from discontinued financing activities
Financing cash flow -97.84%4.53M1,923.74%210M-108.87%-11.52M91.81%129.85M615.99%67.7M-85.50%9.46M234.87%65.2M-135.48%-48.35M275.70%136.26M16.97%-77.56M
Net cash flow
Beginning cash position 43.91%959.68M-28.41%666.88M4.95%931.54M30.38%887.63M19.45%680.78M-17.19%569.94M-2.90%688.27M12.81%708.84M6.36%628.37M-4.22%590.81M
Current changes in cash -74.73%73.98M210.63%292.8M-702.78%-264.66M-78.77%43.91M86.62%206.85M193.67%110.84M-475.23%-118.33M-125.56%-20.57M114.29%80.47M244.33%37.55M
End cash Position 7.71%1.03B43.91%959.68M-28.41%666.88M4.95%931.54M30.38%887.63M19.45%680.78M-17.19%569.94M-2.90%688.27M12.81%708.84M6.36%628.37M
Free cash flow -14.84%69.18M130.07%81.23M-123.94%-270.14M-187.86%-120.63M35.05%137.29M155.47%101.66M-532.32%-183.29M175.74%42.4M-148.18%-55.98M74.10%116.18M
Currency Unit EUREUREUREUREUREUREUREUREUREUR
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