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Morningstar® Stock Report™
Cotización @CompanyName @Ticker | Morningstar
ASM International NV
ASM
Cotización
Gráficos
Cuentas Financieras
Principales Ratios
Prospectos
Rendimiento
Tasas de crecim.
Cash Flow
Salud financiera
Ratios de eficiencia
(Start of Section)
Flujo de Caja
2019
2020
2021
2022
2023
Operating Cash Flow Growth-YOY
257.34
-45.93
43.99
42.26
35.90
Free Cash Flow Growth-YOY
1,887.38
-73.11
120.36
48.81
25.57
Cap Ex as a % of Sales
-8.66%
-12.26%
-9.07%
-8.65%
-12.06%
Free Cash Flow/Sales
29.41%
7.65%
12.94%
13.81%
15.87%
Free Cash Flow/Net Income
1.15
0.36
0.45
0.86
0.56
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