Statement Of Cash Flows [Abstract]

Thermador Groupe - Filing #2811277

Concept 2023-01-01 to
2023-12-31
2023-01-01 to
2023-12-31
2023-01-01 to
2023-12-31
2023-01-01 to
2023-12-31
2023-01-01 to
2023-12-31
As at
2023-12-31
2023-01-01 to
2023-12-31
2023-01-01 to
2023-12-31
2023-01-01 to
2023-12-31
As at
2022-12-31
2022-01-01 to
2022-12-31
As at
2021-12-31
Statement of cash flows [abstract]
Cash flows from (used in) operating activities [abstract]
Profit (loss)
- EUR
- EUR
58 299 EUR
- EUR
58 299 EUR
- EUR
58 299 EUR
- EUR
58 899 EUR
Adjustments to reconcile profit (loss) [abstract]
Adjustments for income tax expense
21 434 EUR
20 147 EUR
Adjustments for share-based payments
40,000 EUR
137,000 EUR
Adjustments for losses (gains) on disposal of non-current assets
75,000 EUR
103,000 EUR
Cash flows from (used in) operating activities
56 519 EUR
25 172 EUR
Cash flows from (used in) investing activities [abstract]
Cash flows from (used in) investing activities
8 373 EUR
34 691 EUR
Cash flows from (used in) financing activities [abstract]
Proceeds from borrowings, classified as financing activities
- EUR
31 000 EUR
Cash flows from (used in) financing activities
29 849 EUR
2 162 EUR
Effect of exchange rate changes on cash and cash equivalents [abstract]
Effect of exchange rate changes on cash and cash equivalents
13,000 EUR
- EUR
Increase (decrease) in cash and cash equivalents after effect of exchange rate changes
18 310 EUR
11 681 EUR
Cash and cash equivalents
35 237 EUR
16 031 EUR
27 379 EUR

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