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Bayer Aktienges ADR (BAYRY)

Bayer Aktienges ADR (BAYRY)
N/A x N/A N/A x N/A
Post-market by (Cboe BZX)
6.6100 +0.1800 (+2.80%) 04/25/25 [OTC US]
N/A x N/A N/A x N/A
Post-market 6.6100 unch (unch) 15:59 ET
Cash Flow for Fri, Apr 25th, 2025
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Fiscal Year End Date: 12/31

(Values in U.S. thousands)
  12-2024 12-2023 12-2022 12-2021 12-2020
Cash Flows From Operating Activities
Net Income -2,755,027 -3,184,127 4,389,297 1,209,128 -17,775,330
Depreciation Amortization 9,504,084 10,844,650 6,851,561 3,615,554 15,145,760
Accounts receivable 213,174 745,705 283,418 -72,169 793,899
Accounts payable and accrued liabilities -129,852 88,749 644,803 1,010,367 -396,378
Other Working Capital 626,536 -4,201,488 -2,704,591 1,598,368 10,005,410
Other Operating Activity 513,998 1,244,641 -1,991,304 -1,340,452 -2,172,663
Operating Cash Flow $7,972,913 $5,538,129 $7,473,185 $6,020,796 $5,600,697
Cash Flows From Investing Activities
Change In Deposits 2,768,012 -122,300 -1,925,981 5,045,921 -279,864
PPE Investments -2,686,854 -2,744,713 -1,916,498 -2,647,778 -2,386,265
Net Acquisitions -180,711 -707,824 2,315,813 -1,592,453 2,180,651
Sale Of Investment 19,478 150,440 -1,245,355 517,015 768,768
Other Investing Activity 257,539 -382,052 263,399 -311,155 -4,935,878
Investing Cash Flow $177,464 $-3,806,449 $-2,508,622 $1,011,550 $-4,652,588
Cash Flows From Financing Activities
Debt Issued 6,292,412 17,624,170 6,986,421 7,798,995 12,440,790
Debt Repayment -11,722,390 -14,103,450 -8,012,628 -10,699,960 -7,338,135
Common Stock Issued -17,314 -1,082 -10,536 N/A N/A
Dividend Paid -141,755 -2,574,792 -2,091,396 -2,357,918 -3,161,886
Other Financing Activity -2,178,267 -1,679,727 -1,318,053 -1,419,717 -1,457,576
Financing Cash Flow $-7,767,314 $-734,882 $-4,446,192 $-6,678,600 $483,193
Exchange Rate Effect -75,747 -200,226 121,164 87,549 -282,148
Beginning Cash Position 6,391,965 5,596,573 4,808,630 4,958,372 3,638,226
End Cash Position 6,699,281 6,393,146 5,448,166 5,399,668 4,787,379
Net Cash Flow $307,316 $796,573 $639,535 $441,296 $1,149,154
Free Cash Flow
Operating Cash Flow 7,972,913 5,538,129 7,473,185 6,020,796 5,600,697
Capital Expenditure -3,006,074 -2,977,407 -3,107,066 -3,089,074 -2,762,081
Free Cash Flow 4,966,839 2,560,722 4,366,119 2,931,722 2,838,616
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