AptarGroup Cash Flow from Financial Activities 2010-2025 | ATR
AptarGroup annual/quarterly cash flow from financial activities history and growth rate from 2010 to 2025. Cash flow from financial activities can be defined as the net amount of cash transactions used in funding activities
- AptarGroup cash flow from financial activities for the quarter ending March 31, 2025 was $-0.135B, a 276.98% increase year-over-year.
- AptarGroup cash flow from financial activities for the twelve months ending March 31, 2025 was $-0.587B, a 74.05% increase year-over-year.
- AptarGroup annual cash flow from financial activities for 2024 was $-0.225B, a 31.35% increase from 2023.
- AptarGroup annual cash flow from financial activities for 2023 was $-0.172B, a 5.83% increase from 2022.
- AptarGroup annual cash flow from financial activities for 2022 was $-0.162B, a 98.85% increase from 2021.
AptarGroup Annual Cash Flow Financial (Millions of US $) |
2024 |
$-225 |
2023 |
$-172 |
2022 |
$-162 |
2021 |
$-82 |
2020 |
$-74 |
2019 |
$-197 |
2018 |
$-15 |
2017 |
$115 |
2016 |
$-30 |
2015 |
$-32 |
2014 |
$-21 |
2013 |
$-68 |
2012 |
$-99 |
2011 |
$-29 |
2010 |
$-80 |
2009 |
$-13 |
Sector |
Industry |
Market Cap |
Revenue |
Industrial Products |
Containers - Paper & Plastic |
$10.469B |
$3.583B |
AptarGroup, Inc. is a leading global supplier of a broad range of innovative dispensing systems for the beauty, personal care, home care, prescription drug, consumer health care, injectables, food and beverage markets. AptarGroup is headquartered in Crystal Lake, Illinois, with manufacturing facilities in North America, Europe, Asia and Latin America.
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