VERBUND AG (OEZVY)
14.33
-0.47
(-3.18%)
USD |
OTCM |
Sep 04, 16:00
VERBUND Free Cash Flow : 40.22M for June 30, 2026
Free Cash Flow Chart
Sep '18
Jan '19
May '19
285.00
270.00
255.00
240.00
Historical Free Cash Flow Data
| Date | Value |
|---|---|
| June 30, 2026 | 40.22M |
| March 31, 2026 | 501.37M |
| December 31, 2025 | 623.36M |
| September 30, 2025 | 1.462B |
| June 30, 2025 | 1.697B |
| March 31, 2025 | 1.871B |
| December 31, 2024 | 2.296B |
| September 30, 2024 | 2.334B |
| June 30, 2024 | 2.705B |
| March 31, 2024 | 3.438B |
| December 31, 2023 | 3.957B |
| September 30, 2023 | 3.937B |
| June 30, 2023 | 3.269B |
| March 31, 2023 | 2.334B |
| December 31, 2022 | 968.56M |
| September 30, 2022 | -529.97M |
| June 30, 2022 | -595.01M |
| March 31, 2022 | -1.048B |
| December 31, 2021 | -894.38M |
| September 30, 2021 | 177.58M |
| June 30, 2021 | 418.60M |
| March 31, 2021 | 540.67M |
| December 31, 2020 | 664.12M |
| September 30, 2020 | 672.69M |
| June 30, 2020 | 655.23M |
| Date | Value |
|---|---|
| March 31, 2020 | 723.26M |
| December 31, 2019 | 904.67M |
| September 30, 2019 | 735.45M |
| June 30, 2019 | 605.36M |
| March 31, 2019 | 488.41M |
| December 31, 2018 | 436.22M |
| September 30, 2018 | 499.81M |
| June 30, 2018 | 579.11M |
| March 31, 2018 | 640.80M |
| December 31, 2017 | 449.25M |
| September 30, 2017 | 439.94M |
| June 30, 2017 | 511.91M |
| March 31, 2017 | 481.77M |
| December 31, 2016 | 617.93M |
| September 30, 2016 | 548.11M |
| June 30, 2016 | 516.42M |
| March 31, 2016 | 566.66M |
| December 31, 2015 | 430.64M |
| September 30, 2015 | 405.98M |
| June 30, 2015 | 534.46M |
| March 31, 2015 | 444.60M |
| December 31, 2014 | 343.33M |
| September 30, 2014 | 334.66M |
| June 30, 2014 | 137.23M |
| March 31, 2014 | 121.55M |
Free Cash Flow Range, Past 5 Years
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Minimum
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Maximum
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Average
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Median
Free Cash Flow Benchmarks
| IDACORP, Inc. | -989.58M |
| CLP Holdings Ltd. | 1.230B |
| naturenergie holding AG | 270.56M |
| American Electric Power Co., Inc. | -3.795B |
| Companhia Energética de Minas Gerais SA | 496.95M |
Free Cash Flow Related Metrics
| Cash from Operations (Quarterly) | 492.77M |
| Cash from Investing (Quarterly) | -221.85M |
| Cash from Financing (Quarterly) | -295.03M |
| Free Cash Flow Per Share (Quarterly) | 0.0483 |
| Free Cash Flow to Equity (Quarterly) | -1.267B |
| Free Cash Flow to Firm (Quarterly) | 102.12M |
| Free Cash Flow Yield | 0.16% |