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Kuehne & Nagel Inter (KHNGY)

Kuehne & Nagel Inter (KHNGY)
N/A x N/A N/A x N/A
Post-market by (Cboe BZX)
46.6000 +0.0900 (+0.19%) 03/28/25 [OTC US]
N/A x N/A N/A x N/A
Post-market 46.6000 unch (unch) 15:59 ET
Cash Flow for Fri, Mar 28th, 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 1,397,157 1,630,750 2,944,599 2,357,785 841,547
Depreciation Amortization 935,982 863,273 805,835 801,975 779,685
Accounts receivable -753,102 1,410,197 1,089,816 -2,955,164 -78,928
Accounts payable and accrued liabilities 43,164 -1,629,636 -399,250 2,281,198 376,510
Other Working Capital -1,151,803 -1,094,964 -124,700 -1,341,367 -198,388
Other Operating Activity 1,214,278 712,897 298,652 1,549,247 111,993
Operating Cash Flow $1,685,676 $1,892,516 $4,614,952 $2,693,674 $1,832,419
Cash Flows From Investing Activities
PPE Investments -311,237 -255,083 -155,089 -191,468 269,850
Net Acquisitions -230,588 -66,834 -85,928 -986,878 -93,861
Purchase Of Investment N/A -2,228 -7,335 -4,376 -3,200
Purchase Sale Intangibles -4,544 -4,456 -8,383 -7,659 -9,599
Other Investing Activity 28,398 53,467 14,671 1,094 -4,266
Investing Cash Flow $-513,427 $-270,678 $-233,682 $-1,181,628 $168,523
Cash Flows From Financing Activities
Debt Issued N/A N/A N/A 407,005 N/A
Debt Repayment -2,272 N/A -209,580 -66,740 -1,067
Common Stock Repurchased -57,931 -797,552 -676,943 -64,552 -39,464
Dividend Paid -1,369,895 -2,041,779 -1,321,402 -589,720 -510,901
Other Financing Activity -738,335 -639,379 -562,723 -561,273 -553,566
Financing Cash Flow $-2,168,433 $-3,478,710 $-2,770,648 $-875,280 $-1,104,998
Exchange Rate Effect 12,495 -105,821 -70,209 5,471 -33,065
Beginning Cash Position 2,280,887 4,199,403 2,410,170 1,874,193 964,206
End Cash Position 1,297,198 2,236,711 3,950,583 2,516,430 1,827,086
Net Cash Flow $-983,689 $-1,962,692 $1,540,413 $642,237 $862,879
Free Cash Flow
Operating Cash Flow 1,685,676 1,892,516 4,614,952 2,693,674 1,832,419
Capital Expenditure -340,770 -340,853 -250,448 -215,538 -188,788
Free Cash Flow 1,344,906 1,551,663 4,364,504 2,478,136 1,643,631
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