Mathios Refractory Stock

Mathios Refractory Operating Cash Flow

The Operating Cash Flow of Mathios Refractory (MATHIO.AT) as of Aug 6, 2026 is 911,900.00 EUR. In the previous year, Operating Cash Flow was -733,800.00 EUR — a change of -224.27% (higher).

Operating Cash Flow

911,900.00EUR

YoY

-224.27%

Last updated:

Operating Cash Flow of Mathios Refractory is 2026 911,900.00 EUR. Operating Cash Flow of Mathios Refractory was 2025 -733,800.00 EUR. It decreases by -224.27% higher compared to the previous year.
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Mathios Refractory Stock analysis

What does Mathios Refractory do? Mathios Refractory is one of the most popular companies on Eulerpool.

Frequently Asked Questions about Mathios Refractory stock

Operating Cash Flow of Mathios Refractory is 911,900.00 EUR in 2026.

Operating Cash Flow of Mathios Refractory changed from -733,800.00 EUR to 911,900.00 EUR, representing a -224.27% change. The value is higher than the previous year.

On Eulerpool you can find the complete historical development of Operating Cash Flow Mathios Refractory since 2006 – with annual values, charts, and detailed analysis.

Operating cash flow measures the cash generated from core business operations. It is a pure measure of a company's ability to generate cash.

Operating Cash Flow's EUR is a key factor for investors. Changes in this metric can signal improving or deteriorating fundamentals, directly impacting the stock price. On Eulerpool, you can track Operating Cash Flow's Mathios Refractory historically and in real time.

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Cash Flow — Mathios Refractory

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