LDA fundamentals
An in-depth look to LINEA DIRECTA ASEGURADORA, S.A., COMPANIA DE SEGUROS Y REASEGUROS operating, investing, and financing activities
LDA free cash flow for H2 24 is 82.83 M EUR. For 2024, LDA free cash flow was 119.94 M EUR and operating cash flow was 122.99 M EUR.
H1 '20
H1 '21
H2 '21
H1 '22
H2 '22
H1 '23
H2 '23
H1 '24
H2 '24
−100.00 M
−50.00 M
0.00
50.00 M
100.00 M
Cash from operating activities
Cash from investing activities
Cash from financing activities
Currency: EUR
H1 '20
Jun 2020
H1 '21
Jun 2021
H2 '21
Dec 2021
H1 '22
Jun 2022
H2 '22
Dec 2022
H1 '23
Jun 2023
H2 '23
Dec 2023
H1 '24
Jun 2024
H2 '24
Dec 2024
TTM
Cash from operating activitiesYoY growth
34.68 M
−42.74%
60.53 M
+59.75%
37.79 M
+8.97%
85.20 M
+40.74%
122.99 M
Cash from investing activitiesYoY growth
−44.90 M
−389.23%
−57.16 M
−686.19%
−47.67 M
−6.17%
−70.54 M
−23.40%
−118.21 M
Cash from financing activitiesYoY growth
−1.57 M
+98.25%
−1.72 M
+98.31%
−679.00 K
+56.83%
−29.45 M
−1,611.27%
−30.13 M
Free cash flowYoY growth
33.90 M
−43.15%
59.84 M
+62.35%
37.11 M
+9.49%
82.83 M
+38.42%
119.94 M