Richemont at a Glance slide image

Richemont at a Glance

FINANCIAL HIGHLIGHTS 735 2 370 2 395 513 3 218 3 393 2020 2021 * Net acquisition of fixed assets, primarily in manufacturing facilities and boutiques RICHEMONT AT A GLANCE 4 638 5 251 981 871 6 549 4 491 Solid cash flows, financing critical investments, led to a strong net cash position 2022 2023 (€ m) Net cash Cash flow from operatiing activities Capital investment 26
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