CUREVAC NV (CVAC)

NL0015436031 - Common Stock

3.49  +0.01 (+0.29%)

After market: 3.49 0 (0%)

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2023
(2023-12-31)
2022
(2022-12-31)
2021
(2021-12-31)
2020
(2020-12-31)
2019
(2019-12-31)
CASH FLOWS FROM OPERATING ACTIVITIES
Net Income
-259.97M-249.20M-412.50M-129.80M-100.10M
Depreciation Amortization
23.39M23.70M15.70M10.70M7.20M
Income Taxes - Deferred
-115.00K0.00-1.60M-1.10MN/A
Change In Working Capital
-58.59M-128.50M15.40M602.50M-14.40M
Interest Paid
2.38M4.60M9.80M8.70M800.00K
Taxes Paid
3.89M100.00K500.00K100.00K300.00K
Other non cash items
27.40M67.70M-350.10M40.20M20.40M
OPERATING CASH FLOW
-267.89M-286.20M-733.10M522.40M-87.00M
 
CASH FLOWS FROM INVESTING ACTIVITIES
Capital Expenditure
-55.20M-93.20M-127.90M-47.40M-12.20M
Other Investing Activity
0.00-300.00K0.002.10M40.40M
INVESTING CASH FLOW
-55.20M-93.50M-127.90M-45.30M28.20M
 
CASH FLOWS FROM FINANCING ACTIVITIES
Debt Issued/Reduced
-5.19M-4.20M-28.20M-47.90M68.00M
Stock Issued/Repurchased
236.09M900.00K373.10M867.70MN/A
Other Financing Activity
0.0066.50MN/AN/AN/A
FINANCING CASH FLOW
230.89M63.20M345.00M819.80M68.00M
 
Exchange Rate Effect
-1.15M800.00K4.90M-5.10M100.00K
CHANGE IN CASH
-93.34M-315.70M-511.10M1.29B9.30M
 
FREE CASH FLOW
Operating Cash Flow
-267.89M-286.20M-733.10M522.40M-87.00M
Capital Expenditure
-55.20M-93.20M-127.90M-47.40M-12.20M
FREE CASH FLOW
-323.09M-379.40M-861.00M475.00M-99.20M

All data in EUR

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