Rapport Actions Morningstar

Direct Line Insurance Group PLC DLG

Period
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Common size as percentageCommon size as fraction
Rounding
ThousandBillion
Flux de trésorerie
20192020202120222023
L'année fiscale se termine en31/12/201931/12/202031/12/202131/12/202231/12/2023
Flux tréso d'exploitation557,90718,70557,40844,70435,80
Imposition-95,80-134,00-118,40-44,50-30,90
Activités d'investissement-187,60-161,00-138,70-100,80398,30
Apports/Fuites Net274,50423,70300,30699,40803,20
Financement-470,60-151,80-572,00-657,50-51,80
Variation nette de trésorerie-196,10271,90-271,7041,90751,40
Ajustements de change-----
Solde d'ouverture1 092,40896,301 168,20896,50938,40
Solde de clôture896,301 168,20896,50938,401 689,80
Ratios d'investissements
Flux tréso PA p33,4342,5232,3661,3530,76
CAPEX PS p-13,57-11,69-10,22-9,21-10,86

GBP Dans Millions except per share data.

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