Q3 2023 Financial Performance and Strategic Highlights slide image

Q3 2023 Financial Performance and Strategic Highlights

Cash flow Selected cash flow items, all figures in EURM 69 Q3 2023 Q3 2022 9M 2023 9M 2022 Net result -55 -370 -1,531 -297 Amortization, depreciation and impairment 154 486 1,772 784 Cash flows from operating activities 199 151 594 397 Capital expenditures -262 -95 -827 -304 Acquisitions of subsidiaries, net of cash acquired -132 0 -227 -7 Proceeds from sale of businesses, net of cash disposed 46 85 135 336 Cash flows from investing activities -343 14 -894 53 Proceeds from loans 226 31 377 32 Repayment of loans / convertible bonds -160 -397 -245 -464 Repayment of lease liabilities -14 -33 -43 -89 Interest paid -58 -48 -134 -110 Dividends paid to shareholders of OSRAM Licht AG -37 -53 Cash flows from financing activities -6 -449 -82 -688 Net change in cash and cash equivalents (incl. FX effects) -152 -202 -407 -91 Cash and cash equivalents at end of the period 691 1,243 691 1,243 amu OSRAM
View entire presentation