Rapport Actions Morningstar

Carnival PLC CCL

Period
Show Report Dates
View
Common size as percentageCommon size as fraction
Rounding
ThousandBillion
Flux de trésorerie
20192020202120222023
L'année fiscale se termine en30-11-201930-11-202030-11-202130-11-202230-11-2023
Flux tréso d'exploitation5.475,00-6.301,00-4.109,00-1.670,004.281,00
Imposition-----
Activités d'investissement-5.277,00-3.240,00-3.543,00-4.767,00-2.810,00
Apports/Fuites Net198,00-9.541,00-7.652,00-6.437,001.471,00
Financement-655,0018.650,006.949,003.577,00-5.089,00
Variation nette de trésorerie-457,009.109,00-703,00-2.860,00-3.618,00
Ajustements de change-9,0053,00-13,00-79,0017,00
Solde d'ouverture996,00530,009.692,008.976,006.037,00
Solde de clôture530,009.692,008.976,006.037,002.436,00
Ratios d'investissements
Flux tréso PA7,91-8,13-3,66-1,423,39
CAPEX PS-7,85-4,67-3,21-4,19-2,60

USD Dans Millions except per share data.

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