Julius Bär Gruppe AG

OTC: JBARF · Real-Time Price · USD
73.20
0.00 (0.00%)
At close: Aug 13, 2025, 3:52 PM

Julius Bär Gruppe Cash Flow Statement

Financials in CHF. Fiscal year is January - December.
Fiscal Year Q4 2024 Q2 2024 Q4 2023 Q2 2023 Q4 2022 Q2 2022 Q4 2021 Q2 2021
Period Ending Dec 31, 2024 Jun 30, 2024 Dec 31, 2023 Jun 30, 2023 Dec 31, 2022 Jun 30, 2022 Dec 31, 2021 Jun 30, 2021
Net Income
1.02B 374.2M 454M 1.03B 949.6M 926.8M 1.08B 812.9M
Depreciation & Amortization
244.8M 247.1M 244.8M 306.8M 309.7M 255.9M 255.8M 436.2M
Stock-Based Compensation
n/a 71.9M 88.6M 95.2M 88.4M 85.4M 93.3M 89.6M
Other Working Capital
921.5M -760.8M -4.51B -10.48B -4.95B 5.02B 2.56B 1.81B
Other Non-Cash Items
-62.8M 277.8M 1.06B 755.8M 701.9M 673.1M 673.5M 915.3M
Deferred Income Tax
n/a -3.79B -4.08B -708.8M -707.8M -597.2M -604.9M -962M
Change in Working Capital
921.5M 350.8M 1.01B 6.12B 571M -5.68B -1.18B 1.19B
Operating Cash Flow
2.13B 1.03B 2.28B 7.6B 1.91B -4.34B 320.6M 2.49B
Capital Expenditures
-253.8M -237.4M -239.6M -224.7M -196.7M -195.8M -196.8M -193M
Cash Acquisitions
6.2M 300K 400K 400K 45.8M 27.1M -18.3M -5.07B
Purchase of Investments
n/a -360.4M -2.02B -2.43B -4.35B -4.01B -846.8M 680.8M
Sales Maturities Of Investments
n/a -4.14B 1.92B 4.29B 1.07B 6.27B 1.85B -4.89B
Other Investing Acitivies
3.11B 2.07B -1.5M -771.2M -770.7M 9.4M -25M 1.06B
Investing Cash Flow
2.86B -3.25B -3.61B -9.12B -5.37B 8.22B 764.6M -8.41B
Debt Repayment
186.4M -387.1M -447.9M -2.84B -2.69B 477.7M 1.2B 6.81B
Common Stock Repurchased
n/a -101.7M -232M -249.6M -226.3M -442.6M -443M -102.4M
Dividend Paid
-535.6M -535.6M -535.6M -535.6M -554.1M -554.1M -385.8M -551.7M
Other Financial Acitivies
-1.6M 869.9M 870.7M -300K -1.1M -2.9M -2.6M -2.7M
Financial Cash Flow
-409.4M -1.03B -1.22B -3.63B -3.48B 732.1M 1.62B 6.15B
Net Cash Flow
20.81B 14.13B -2.69B -5.05B -6.89B 4.71B 2.74B 76.5M
Free Cash Flow
1.87B 2.34B 2.04B 7.38B 1.72B -4.53B 123.8M 2.29B