Morningstar® Stock Report™

ASM International NV ASM

Flujo de Caja
20192020202120222023
Operating Cash Flow Growth-YOY257.34-45.9343.9942.2635.90
Free Cash Flow Growth-YOY1,887.38-73.11120.3648.8125.57
Cap Ex as a % of Sales-8.66%-12.26%-9.07%-8.65%-12.06%
Free Cash Flow/Sales29.41%7.65%12.94%13.81%15.87%
Free Cash Flow/Net Income1.150.360.450.860.56
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