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SBGSF SCHNEIDER ELECTRIC SE

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  • 232.735
  • +2.895+1.26%
15min DelayClose Apr 26 16:00 ET
130.20BMarket Cap30.68P/E (TTM)

SCHNEIDER ELECTRIC SE Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2023
(FY)Dec 31, 2022
(FY)Dec 31, 2021
(FY)Dec 31, 2020
(FY)Dec 31, 2019
(FY)Dec 31, 2018
(FY)Dec 31, 2017
(FY)Dec 31, 2016
(FY)Dec 31, 2015
(FY)Dec 31, 2014
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
Net income from continuing operations
17.90%4.17B
8.04%3.54B
46.25%3.27B
-11.40%2.24B
2.93%2.53B
6.51%2.45B
26.04%2.3B
21.62%1.83B
-20.56%1.5B
-1.66%1.89B
Deferred tax
-217.99%-164M
465.79%139M
72.26%-38M
-6,750.00%-137M
-102.22%-2M
87.50%90M
-74.47%48M
148.45%188M
-106.38%-388M
-67.86%-188M
Other non cash items
115.69%220M
-5.56%102M
12.50%108M
45.45%96M
-19.51%66M
121.62%82M
-71.54%37M
35.42%130M
15.66%96M
10.67%83M
Change In working capital
136.38%378M
-21.81%-1.04B
-208.80%-853M
190.37%784M
150.66%270M
-574.68%-533M
-8,000.00%-79M
-99.15%1M
209.35%117M
-144.96%-107M
-Change in receivables
120.33%62M
47.14%-305M
-276.99%-577M
1,381.82%326M
143.14%22M
80.16%-51M
-1,411.76%-257M
19.05%-17M
91.46%-21M
-700.00%-246M
-Change in inventory
30.92%-382M
42.09%-553M
-524.18%-955M
-173.21%-153M
172.82%209M
-65.90%-287M
-286.02%-173M
3,200.00%93M
-101.78%-3M
776.00%169M
-Change in other current assets
180.71%205M
-197.32%-254M
-2.25%261M
233.75%267M
182.47%80M
-306.38%-97M
187.04%47M
-307.69%-54M
-52.73%26M
237.50%55M
-Change in other current liabilities
575.34%493M
-82.54%73M
--418M
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Cash from discontinued investing activities
Operating cash flow
35.67%5.91B
20.41%4.35B
-18.47%3.62B
3.57%4.44B
49.09%4.28B
-2.35%2.87B
-0.54%2.94B
4.41%2.96B
11.80%2.83B
-11.62%2.53B
Investing cash flow
Cash flow from continuing investing activities
Net PPE purchase and sale
-35.11%-862M
-31.82%-638M
-12.56%-484M
8.12%-430M
-8.33%-468M
-15.82%-432M
5.57%-373M
3.42%-395M
5.98%-409M
-16.62%-435M
Net intangibles purchase and sale
-16.84%-451M
-15.92%-386M
-0.30%-333M
1.78%-332M
0.00%-338M
-7.30%-338M
8.96%-315M
8.47%-346M
4.06%-378M
-18.32%-394M
Net business purchase and sale
305.72%611M
92.98%-297M
---4.23B
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Net investment purchase and sale
-322.50%-89M
150.00%40M
45.45%16M
-81.36%11M
290.32%59M
-219.23%-31M
-71.43%26M
-79.82%91M
118.97%451M
-481.17%-2.38B
Net other investing changes
-97.69%-257M
4.41%-130M
94.56%-136M
-1,378.70%-2.5B
81.31%-169M
-56.94%-904M
-418.92%-576M
28.39%-111M
-28.10%-155M
-86.15%-121M
Cash from discontinued investing activities
Investing cash flow
25.73%-1.05B
72.70%-1.41B
-59.02%-5.17B
-254.80%-3.25B
46.28%-916M
-37.72%-1.71B
-62.68%-1.24B
-54.99%-761M
85.24%-491M
-181.95%-3.33B
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt
675.62%3.15B
138.89%406M
-135.08%-1.04B
584.69%2.98B
-391.00%-614M
221.26%211M
73.87%-174M
-311.11%-666M
89.47%-162M
-241.62%-1.54B
Net common stock issuance
-3,709.09%-419M
76.09%-11M
-557.14%-46M
92.86%-7M
85.26%-98M
-6,550.00%-665M
98.55%-10M
-54.14%-689M
-233.58%-447M
-157.02%-134M
Cash dividends paid
-9.21%-1.77B
-11.82%-1.62B
-2.41%-1.45B
-9.03%-1.41B
-5.97%-1.3B
-7.94%-1.22B
-0.53%-1.13B
-1.71%-1.13B
-1.19%-1.11B
-6.83%-1.1B
Net other financing activities
-6,341.10%-4.7B
82.54%-73M
-136.63%-418M
--1.14B
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---141M
----
-0.91%-111M
-254.84%-110M
Cash from discontinued financing activities
Financing cash flow
-163.11%-3.82B
53.02%-1.45B
-219.65%-3.09B
221.65%2.59B
-20.94%-2.13B
-15.44%-1.76B
41.05%-1.52B
-41.25%-2.58B
36.46%-1.83B
-1,185.66%-2.88B
Net cash flow
Beginning cash position
56.84%3.86B
-63.58%2.46B
99.18%6.76B
52.17%3.4B
-19.37%2.23B
9.37%2.77B
-11.20%2.53B
16.86%2.85B
-55.04%2.44B
49.15%5.42B
Current changes in cash
-30.47%1.04B
132.08%1.49B
-223.21%-4.65B
218.95%3.77B
297.99%1.18B
-321.11%-597M
168.18%270M
-177.19%-396M
117.54%513M
-245.33%-2.92B
Effect of exchange rate changes
-242.86%-240M
-120.23%-70M
185.86%346M
-2,138.89%-403M
-129.51%-18M
284.85%61M
-142.86%-33M
175.49%77M
-67.21%-102M
72.89%-61M
End cash Position
20.48%4.65B
56.84%3.86B
-63.58%2.46B
99.18%6.76B
52.17%3.4B
-19.37%2.23B
9.37%2.77B
-11.20%2.53B
16.86%2.85B
-55.04%2.44B
Free cash flow
39.28%4.54B
19.01%3.26B
-24.27%2.74B
5.24%3.62B
67.87%3.44B
-6.57%2.05B
3.35%2.19B
10.07%2.12B
15.94%1.93B
-19.01%1.66B
Currency Unit
EUR
EUR
EUR
EUR
EUR
EUR
EUR
EUR
EUR
EUR
Accounting Standards
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
(FY)Dec 31, 2023(FY)Dec 31, 2022(FY)Dec 31, 2021(FY)Dec 31, 2020(FY)Dec 31, 2019(FY)Dec 31, 2018(FY)Dec 31, 2017(FY)Dec 31, 2016(FY)Dec 31, 2015(FY)Dec 31, 2014
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
Net income from continuing operations 17.90%4.17B8.04%3.54B46.25%3.27B-11.40%2.24B2.93%2.53B6.51%2.45B26.04%2.3B21.62%1.83B-20.56%1.5B-1.66%1.89B
Deferred tax -217.99%-164M465.79%139M72.26%-38M-6,750.00%-137M-102.22%-2M87.50%90M-74.47%48M148.45%188M-106.38%-388M-67.86%-188M
Other non cash items 115.69%220M-5.56%102M12.50%108M45.45%96M-19.51%66M121.62%82M-71.54%37M35.42%130M15.66%96M10.67%83M
Change In working capital 136.38%378M-21.81%-1.04B-208.80%-853M190.37%784M150.66%270M-574.68%-533M-8,000.00%-79M-99.15%1M209.35%117M-144.96%-107M
-Change in receivables 120.33%62M47.14%-305M-276.99%-577M1,381.82%326M143.14%22M80.16%-51M-1,411.76%-257M19.05%-17M91.46%-21M-700.00%-246M
-Change in inventory 30.92%-382M42.09%-553M-524.18%-955M-173.21%-153M172.82%209M-65.90%-287M-286.02%-173M3,200.00%93M-101.78%-3M776.00%169M
-Change in other current assets 180.71%205M-197.32%-254M-2.25%261M233.75%267M182.47%80M-306.38%-97M187.04%47M-307.69%-54M-52.73%26M237.50%55M
-Change in other current liabilities 575.34%493M-82.54%73M--418M----------------------------
Cash from discontinued investing activities
Operating cash flow 35.67%5.91B20.41%4.35B-18.47%3.62B3.57%4.44B49.09%4.28B-2.35%2.87B-0.54%2.94B4.41%2.96B11.80%2.83B-11.62%2.53B
Investing cash flow
Cash flow from continuing investing activities
Net PPE purchase and sale -35.11%-862M-31.82%-638M-12.56%-484M8.12%-430M-8.33%-468M-15.82%-432M5.57%-373M3.42%-395M5.98%-409M-16.62%-435M
Net intangibles purchase and sale -16.84%-451M-15.92%-386M-0.30%-333M1.78%-332M0.00%-338M-7.30%-338M8.96%-315M8.47%-346M4.06%-378M-18.32%-394M
Net business purchase and sale 305.72%611M92.98%-297M---4.23B----------------------------
Net investment purchase and sale -322.50%-89M150.00%40M45.45%16M-81.36%11M290.32%59M-219.23%-31M-71.43%26M-79.82%91M118.97%451M-481.17%-2.38B
Net other investing changes -97.69%-257M4.41%-130M94.56%-136M-1,378.70%-2.5B81.31%-169M-56.94%-904M-418.92%-576M28.39%-111M-28.10%-155M-86.15%-121M
Cash from discontinued investing activities
Investing cash flow 25.73%-1.05B72.70%-1.41B-59.02%-5.17B-254.80%-3.25B46.28%-916M-37.72%-1.71B-62.68%-1.24B-54.99%-761M85.24%-491M-181.95%-3.33B
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt 675.62%3.15B138.89%406M-135.08%-1.04B584.69%2.98B-391.00%-614M221.26%211M73.87%-174M-311.11%-666M89.47%-162M-241.62%-1.54B
Net common stock issuance -3,709.09%-419M76.09%-11M-557.14%-46M92.86%-7M85.26%-98M-6,550.00%-665M98.55%-10M-54.14%-689M-233.58%-447M-157.02%-134M
Cash dividends paid -9.21%-1.77B-11.82%-1.62B-2.41%-1.45B-9.03%-1.41B-5.97%-1.3B-7.94%-1.22B-0.53%-1.13B-1.71%-1.13B-1.19%-1.11B-6.83%-1.1B
Net other financing activities -6,341.10%-4.7B82.54%-73M-136.63%-418M--1.14B-----------141M-----0.91%-111M-254.84%-110M
Cash from discontinued financing activities
Financing cash flow -163.11%-3.82B53.02%-1.45B-219.65%-3.09B221.65%2.59B-20.94%-2.13B-15.44%-1.76B41.05%-1.52B-41.25%-2.58B36.46%-1.83B-1,185.66%-2.88B
Net cash flow
Beginning cash position 56.84%3.86B-63.58%2.46B99.18%6.76B52.17%3.4B-19.37%2.23B9.37%2.77B-11.20%2.53B16.86%2.85B-55.04%2.44B49.15%5.42B
Current changes in cash -30.47%1.04B132.08%1.49B-223.21%-4.65B218.95%3.77B297.99%1.18B-321.11%-597M168.18%270M-177.19%-396M117.54%513M-245.33%-2.92B
Effect of exchange rate changes -242.86%-240M-120.23%-70M185.86%346M-2,138.89%-403M-129.51%-18M284.85%61M-142.86%-33M175.49%77M-67.21%-102M72.89%-61M
End cash Position 20.48%4.65B56.84%3.86B-63.58%2.46B99.18%6.76B52.17%3.4B-19.37%2.23B9.37%2.77B-11.20%2.53B16.86%2.85B-55.04%2.44B
Free cash flow 39.28%4.54B19.01%3.26B-24.27%2.74B5.24%3.62B67.87%3.44B-6.57%2.05B3.35%2.19B10.07%2.12B15.94%1.93B-19.01%1.66B
Currency Unit EUREUREUREUREUREUREUREUREUREUR
Accounting Standards NonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAP

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