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EADSY AIRBUS SE

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32.700 -0.760-2.27% Close 10/02 16:00 ET
32.690-0.010-0.03% Post 16:00 ET
33.450High32.700Low212.22KVolume

AIRBUS SE Key Stats

Quarterly+Annual
YOY
Hide blank lines
(Q2)2023/06/30
(Q1)2023/03/31
(FY)2022/12/31
(Q4)2022/12/31
(Q3)2022/09/30
(Q2)2022/06/30
(Q1)2022/03/31
(FY)2021/12/31
(Q4)2021/12/31
(Q3)2021/09/30
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
Net income from continuing operations
55.76%1.01B
-63.29%438M
-0.91%4.14B
4.61%1.66B
64.68%634M
-64.96%651M
244.80%1.19B
457.06%4.17B
3.53%1.59B
149.61%385M
Deferred tax
42.38%635M
-111.28%-38M
10.08%939M
147.50%396M
-379.07%-240M
0.90%446M
104.24%337M
2,087.18%853M
742.11%160M
143.88%86M
Other non cash items
-52.71%-310M
-1.30%-389M
45.38%-337M
-90.91%-210M
462.20%460M
40.82%-203M
-937.84%-384M
-268.58%-617M
82.65%-110M
-132.40%-127M
Change In working capital
40.61%1.39B
-11.33%-737M
33.18%1.42B
466.67%1.34B
-372.22%-245M
428.33%985M
-163.65%-662M
112.95%1.07B
-94.19%237M
123.81%90M
-Change in receivables
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----
-130.34%-115M
----
----
----
----
7.98%379M
----
----
-Change in inventory
----
----
-233.80%-3.22B
----
----
----
----
1,482.24%2.41B
----
----
-Change in other current assets
40.61%1.39B
-11.33%-737M
175.61%1.45B
149.87%1.37B
-372.22%-245M
428.33%985M
-163.65%-662M
40.60%-1.91B
-130.12%-2.74B
123.81%90M
Cash from discontinued investing activities
Operating cash flow
91.41%2.79B
-198.16%-479M
35.55%6.29B
126.59%2.92B
123.23%1.42B
18.58%1.46B
-67.14%488M
185.59%4.64B
-76.39%1.29B
-22.97%637M
Investing cash flow
Cash flow from continuing investing activities
Net intangibles purchase and sale
-43.72%-572M
-57.37%-491M
-37.70%-2.36B
-92.88%-1.14B
-40.33%-515M
-20.24%-398M
27.10%-312M
-12.08%-1.72B
-20.41%-590M
69.57%-367M
Net business purchase and sale
-55.48%-227M
6.38%-132M
-145.63%-506M
61.47%-42M
-164.18%-177M
-1,522.22%-146M
-571.43%-141M
67.71%-206M
-28.24%-109M
-509.09%-67M
Net investment purchase and sale
-342.16%-494M
-195.65%-88M
70.99%-344M
99.93%-1M
-1,961.29%-639M
185.36%204M
-78.15%92M
-118.82%-1.19B
-925.31%-1.34B
-107.58%-31M
Net other investing changes
----
----
----
----
----
----
----
--310M
----
----
Cash from discontinued investing activities
Investing cash flow
-370.37%-1.14B
-96.95%-711M
-14.49%-3.11B
29.12%-1.18B
-186.24%-1.33B
56.91%-243M
-1,189.29%-361M
-165.90%-2.72B
-282.07%-1.66B
-466.14%-465M
Financing cash flow
Cash flow from continuing financing activities
Net common stock issuance
0.00%140M
-130.56%-83M
-63.64%-36M
--0
-5.26%-140M
5.26%140M
---36M
-125.88%-22M
-124.72%-22M
-60.24%-133M
Cash dividends paid
----
----
---1.18B
--0
--0
----
----
----
----
----
Net other financing activities
76.17%-335M
-58.47%125M
58.41%-897M
-11.11%80M
445.95%128M
29.77%-1.41B
244.71%301M
-509.32%-2.16B
101.06%90M
-107.68%-37M
Cash from discontinued financing activities
Financing cash flow
33.96%-1.62B
-84.15%42M
2.94%-2.12B
16.18%79M
92.94%-12M
-30.93%-2.45B
227.40%265M
-131.89%-2.18B
105.14%68M
-142.61%-170M
Net cash flow
Beginning cash position
-3.49%14.52B
8.58%15.82B
0.92%14.57B
-2.28%14.52B
-3.52%14.15B
-5.81%15.05B
0.92%14.57B
55.02%14.44B
35.94%14.85B
47.73%14.66B
Current changes in cash
102.11%26M
-392.86%-1.15B
509.27%1.06B
700.00%1.82B
3,850.00%79M
-2.40%-1.24B
-68.61%392M
-104.68%-259M
-108.20%-304M
-99.85%2M
Effect of exchange rate changes
-101.49%-5M
-291.36%-155M
-51.28%191M
-2,445.45%-516M
52.36%291M
416.04%335M
-71.58%81M
194.69%392M
111.34%22M
154.57%191M
End cash Position
2.80%14.54B
-3.49%14.52B
8.58%15.82B
8.58%15.82B
-2.28%14.52B
-3.52%14.15B
-5.81%15.05B
0.92%14.57B
0.92%14.57B
35.94%14.85B
Free cash flow
110.16%2.19B
-746.36%-976M
41.05%3.82B
214.80%1.77B
260.00%864M
17.85%1.04B
-85.27%151M
137.76%2.71B
-88.54%561M
-57.82%240M
Currency Unit
EUR
EUR
EUR
EUR
EUR
EUR
EUR
EUR
EUR
EUR
(Q2)2023/06/30(Q1)2023/03/31(FY)2022/12/31(Q4)2022/12/31(Q3)2022/09/30(Q2)2022/06/30(Q1)2022/03/31(FY)2021/12/31(Q4)2021/12/31(Q3)2021/09/30
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
Net income from continuing operations 55.76%1.01B-63.29%438M-0.91%4.14B4.61%1.66B64.68%634M-64.96%651M244.80%1.19B457.06%4.17B3.53%1.59B149.61%385M
Deferred tax 42.38%635M-111.28%-38M10.08%939M147.50%396M-379.07%-240M0.90%446M104.24%337M2,087.18%853M742.11%160M143.88%86M
Other non cash items -52.71%-310M-1.30%-389M45.38%-337M-90.91%-210M462.20%460M40.82%-203M-937.84%-384M-268.58%-617M82.65%-110M-132.40%-127M
Change In working capital 40.61%1.39B-11.33%-737M33.18%1.42B466.67%1.34B-372.22%-245M428.33%985M-163.65%-662M112.95%1.07B-94.19%237M123.81%90M
-Change in receivables ---------130.34%-115M----------------7.98%379M--------
-Change in inventory ---------233.80%-3.22B----------------1,482.24%2.41B--------
-Change in other current assets 40.61%1.39B-11.33%-737M175.61%1.45B149.87%1.37B-372.22%-245M428.33%985M-163.65%-662M40.60%-1.91B-130.12%-2.74B123.81%90M
Cash from discontinued investing activities
Operating cash flow 91.41%2.79B-198.16%-479M35.55%6.29B126.59%2.92B123.23%1.42B18.58%1.46B-67.14%488M185.59%4.64B-76.39%1.29B-22.97%637M
Investing cash flow
Cash flow from continuing investing activities
Net intangibles purchase and sale -43.72%-572M-57.37%-491M-37.70%-2.36B-92.88%-1.14B-40.33%-515M-20.24%-398M27.10%-312M-12.08%-1.72B-20.41%-590M69.57%-367M
Net business purchase and sale -55.48%-227M6.38%-132M-145.63%-506M61.47%-42M-164.18%-177M-1,522.22%-146M-571.43%-141M67.71%-206M-28.24%-109M-509.09%-67M
Net investment purchase and sale -342.16%-494M-195.65%-88M70.99%-344M99.93%-1M-1,961.29%-639M185.36%204M-78.15%92M-118.82%-1.19B-925.31%-1.34B-107.58%-31M
Net other investing changes ------------------------------310M--------
Cash from discontinued investing activities
Investing cash flow -370.37%-1.14B-96.95%-711M-14.49%-3.11B29.12%-1.18B-186.24%-1.33B56.91%-243M-1,189.29%-361M-165.90%-2.72B-282.07%-1.66B-466.14%-465M
Financing cash flow
Cash flow from continuing financing activities
Net common stock issuance 0.00%140M-130.56%-83M-63.64%-36M--0-5.26%-140M5.26%140M---36M-125.88%-22M-124.72%-22M-60.24%-133M
Cash dividends paid -----------1.18B--0--0--------------------
Net other financing activities 76.17%-335M-58.47%125M58.41%-897M-11.11%80M445.95%128M29.77%-1.41B244.71%301M-509.32%-2.16B101.06%90M-107.68%-37M
Cash from discontinued financing activities
Financing cash flow 33.96%-1.62B-84.15%42M2.94%-2.12B16.18%79M92.94%-12M-30.93%-2.45B227.40%265M-131.89%-2.18B105.14%68M-142.61%-170M
Net cash flow
Beginning cash position -3.49%14.52B8.58%15.82B0.92%14.57B-2.28%14.52B-3.52%14.15B-5.81%15.05B0.92%14.57B55.02%14.44B35.94%14.85B47.73%14.66B
Current changes in cash 102.11%26M-392.86%-1.15B509.27%1.06B700.00%1.82B3,850.00%79M-2.40%-1.24B-68.61%392M-104.68%-259M-108.20%-304M-99.85%2M
Effect of exchange rate changes -101.49%-5M-291.36%-155M-51.28%191M-2,445.45%-516M52.36%291M416.04%335M-71.58%81M194.69%392M111.34%22M154.57%191M
End cash Position 2.80%14.54B-3.49%14.52B8.58%15.82B8.58%15.82B-2.28%14.52B-3.52%14.15B-5.81%15.05B0.92%14.57B0.92%14.57B35.94%14.85B
Free cash flow 110.16%2.19B-746.36%-976M41.05%3.82B214.80%1.77B260.00%864M17.85%1.04B-85.27%151M137.76%2.71B-88.54%561M-57.82%240M
Currency Unit EUREUREUREUREUREUREUREUREUREUR
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