Development
C
Compagnie Financière Richemont SA CFRUY
$18.45 $0.170.93% OTC PK
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09/30/2023 06/30/2023 03/31/2023 12/31/2022 09/30/2022
Net Income 314.47% 302.92% 21.74% 13.87% -152.73%
Total Depreciation and Amortization -5.38% -10.48% -11.59% -17.30% -10.68%
Total Amortization of Deferred Charges -- -- -45.68% -49.19% --
Total Other Non-Cash Items -78.89% -80.03% 106.99% 93.61% 433.27%
Change in Net Operating Assets 11.72% 16.48% -78.43% -79.82% -72.11%
Cash from Operations 16.86% 10.56% -1.32% -7.70% -26.09%
Capital Expenditure -3.02% 2.53% 5.35% 11.47% -28.21%
Sale of Property, Plant, and Equipment -89.20% -89.78% -49.42% -52.69% 754.78%
Cash Acquisitions 30.39% 34.14% 23.57% 28.51% 79.76%
Divestitures -- -- -4.47% -10.63% --
Other Investing Activities -64.51% -55.65% -7.95% -0.97% 59.87%
Cash from Investing -26.62% -19.80% -3.31% 3.37% 44.08%
Total Debt Issued 250.00% 250.00% 100.00% 100.00% --
Total Debt Repaid -6.59% -6.59% -6.15% -6.15% -8.05%
Issuance of Common Stock 18.10% 18.10% 105.00% 105.00% 39.76%
Repurchase of Common Stock -- -- -- -- --
Issuance of Preferred Stock -- -- -- -- --
Repurchase of Preferred Stock -- -- -- -- --
Total Dividends Paid 0.03% 5.42% -- -- -51.98%
Other Financing Activities -4,088.10% -4,088.10% -412.54% -412.54% 109.57%
Cash from Financing -22.66% -16.05% 40.29% 44.15% -28.86%
Foreign Exchange rate Adjustments -105.69% -105.38% -303.47% -290.31% 229.88%
Miscellaneous Cash Flow Adjustments -- -- -- -- --
Net Change in Cash -71.32% -62.08% -26.18% -30.95% -70.18%