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IFF International Flavors & Fragrances

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  • 73.430
  • -0.650-0.88%
Close May 9 16:00 ET
  • 73.990
  • +0.560+0.76%
Post 19:59 ET
18.78BMarket Cap-22.52P/E (TTM)

International Flavors & Fragrances Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 31, 2025
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
28.28%127M
-25.64%1.07B
-42.86%368M
-12.86%366M
-4.44%237M
-22.05%99M
262.47%1.44B
209.62%644M
75.00%420M
627.66%248M
Net income from continuing operations
-1,767.21%-1.02B
109.64%247M
98.24%-46M
122.22%60M
537.04%172M
862.50%61M
-37.50%-2.56B
-10,770.83%-2.61B
101.23%27M
-75.23%27M
Operating gains losses
----
1,537.50%115M
544.44%160M
363.64%51M
-1,275.00%-94M
-122.22%-2M
75.76%-8M
-111.76%-36M
178.57%11M
--8M
Depreciation and amortization
-15.11%236M
-11.12%1.02B
-15.33%243M
-15.07%248M
-14.29%246M
0.72%278M
-3.14%1.14B
1.77%287M
-0.34%292M
-4.65%287M
Deferred tax
-577.78%-61M
17.62%-304M
43.23%-176M
-59.38%-51M
-6,900.00%-68M
67.86%-9M
-55.70%-369M
-1,966.67%-310M
27.27%-32M
100.88%1M
Other non cash items
28.57%-5M
19.44%-29M
-9.09%-12M
14.29%-6M
63.64%-4M
0.00%-7M
0.00%-36M
0.00%-11M
12.50%-7M
-22.22%-11M
Change In working capital
17.50%-198M
-122.42%-115M
-73.19%181M
-48.39%48M
18.75%-104M
-88.98%-240M
149.76%513M
3,652.63%675M
272.22%93M
72.71%-128M
-Change in receivables
60.00%-116M
-525.49%-217M
-54.26%59M
312.50%17M
57.14%-3M
-360.32%-290M
143.59%51M
-32.81%129M
-114.81%-8M
92.31%-7M
-Change in inventory
-370.59%-92M
-105.62%-34M
-126.72%-31M
-104.49%-7M
-126.32%-30M
-84.47%34M
167.75%605M
236.47%116M
166.38%156M
143.51%114M
-Change in payables and accrued expense
-348.65%-92M
202.56%40M
-97.84%9M
147.41%55M
57.93%-61M
118.97%37M
31.58%-39M
212.70%417M
-148.95%-116M
-2.84%-145M
-Change in other working capital
585.71%102M
192.31%96M
1,007.69%144M
-127.87%-17M
88.89%-10M
76.14%-21M
-388.89%-104M
-94.67%13M
155.45%61M
-460.00%-90M
Cash from discontinued investing activities
Operating cash flow
28.28%127M
-25.64%1.07B
-42.86%368M
-12.86%366M
-4.44%237M
-22.05%99M
262.47%1.44B
209.62%644M
75.00%420M
627.66%248M
Investing cash flow
Cash flow from continuing investing activities
-101.28%-157M
-43.21%326M
-306.25%-260M
-190.70%-78M
3.20%742M
53.29%-78M
-22.95%574M
54.93%-64M
-93.03%86M
419.56%719M
Net PPE purchase and sale
-51.69%-179M
7.95%-463M
-41.59%-160M
-3.00%-103M
28.70%-82M
32.57%-118M
0.20%-503M
29.38%-113M
7.41%-100M
-10.58%-115M
Net intangibles purchase and sale
----
---5M
--0
----
----
----
--0
--0
----
----
Net business purchase and sale
--0
-16.67%875M
-102.27%-1M
-84.86%28M
-1.10%811M
3,600.00%37M
-1.87%1.05B
300.00%44M
-84.20%185M
766.67%820M
Net investment purchase and sale
--22M
---102M
----
----
----
--0
--0
----
----
----
Net other investing changes
----
-22.22%21M
-40.00%3M
100.00%2M
-7.14%13M
-57.14%3M
237.50%27M
-28.57%5M
133.33%1M
600.00%14M
Cash from discontinued investing activities
Investing cash flow
-101.28%-157M
-43.21%326M
-306.25%-260M
-190.70%-78M
3.20%742M
53.29%-78M
-22.95%574M
54.93%-64M
-93.03%86M
419.56%719M
Financing cash flow
Cash flow from continuing financing activities
322.50%169M
13.24%-1.61B
70.97%-162M
1.41%-421M
-12.61%-1.06B
-48.72%40M
-50.61%-1.85B
-292.96%-558M
70.83%-427M
-434.75%-944M
Net issuance payments of debt
10.40%276M
-9.46%-1.03B
81.27%-56M
-46.73%-314M
-26.21%-910M
-14.68%250M
-173.55%-941M
-469.14%-299M
82.71%-214M
-242.77%-721M
Cash dividends paid
50.72%-102M
37.77%-514M
50.24%-103M
50.49%-102M
50.72%-102M
-0.49%-207M
-1.98%-826M
-0.49%-207M
-1.98%-206M
-2.99%-207M
Net other financing activities
-66.67%-5M
26.19%-62M
94.23%-3M
28.57%-5M
-218.75%-51M
66.67%-3M
-12.00%-84M
-205.88%-52M
70.83%-7M
27.27%-16M
Cash from discontinued financing activities
Financing cash flow
322.50%169M
13.24%-1.61B
70.97%-162M
1.41%-421M
-12.61%-1.06B
-48.72%40M
-50.61%-1.85B
-292.96%-558M
70.83%-427M
-434.75%-944M
Net cash flow
Beginning cash position
-35.92%471M
33.15%735M
-14.05%569M
3.37%674M
24.96%771M
33.15%735M
-22.91%552M
19.28%662M
4.82%652M
-6.80%617M
Current changes in cash
127.87%139M
-229.63%-210M
-345.45%-54M
-268.35%-133M
-465.22%-84M
60.53%61M
286.21%162M
128.95%22M
777.78%79M
130.00%23M
Effect of exchange rate changes
260.00%40M
-357.14%-54M
-186.27%-44M
140.58%28M
-208.33%-13M
-192.59%-25M
127.27%21M
-30.14%51M
9.21%-69M
124.00%12M
End cash Position
-15.69%650M
-35.92%471M
-35.92%471M
-14.05%569M
3.37%674M
24.96%771M
33.15%735M
33.15%735M
19.28%662M
4.82%652M
Free cash flow
-173.68%-52M
-35.68%602M
-60.83%208M
-19.38%258M
16.54%155M
60.42%-19M
958.72%936M
1,006.25%531M
142.42%320M
188.08%133M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
--
--
(Q1)Mar 31, 2025(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 28.28%127M-25.64%1.07B-42.86%368M-12.86%366M-4.44%237M-22.05%99M262.47%1.44B209.62%644M75.00%420M627.66%248M
Net income from continuing operations -1,767.21%-1.02B109.64%247M98.24%-46M122.22%60M537.04%172M862.50%61M-37.50%-2.56B-10,770.83%-2.61B101.23%27M-75.23%27M
Operating gains losses ----1,537.50%115M544.44%160M363.64%51M-1,275.00%-94M-122.22%-2M75.76%-8M-111.76%-36M178.57%11M--8M
Depreciation and amortization -15.11%236M-11.12%1.02B-15.33%243M-15.07%248M-14.29%246M0.72%278M-3.14%1.14B1.77%287M-0.34%292M-4.65%287M
Deferred tax -577.78%-61M17.62%-304M43.23%-176M-59.38%-51M-6,900.00%-68M67.86%-9M-55.70%-369M-1,966.67%-310M27.27%-32M100.88%1M
Other non cash items 28.57%-5M19.44%-29M-9.09%-12M14.29%-6M63.64%-4M0.00%-7M0.00%-36M0.00%-11M12.50%-7M-22.22%-11M
Change In working capital 17.50%-198M-122.42%-115M-73.19%181M-48.39%48M18.75%-104M-88.98%-240M149.76%513M3,652.63%675M272.22%93M72.71%-128M
-Change in receivables 60.00%-116M-525.49%-217M-54.26%59M312.50%17M57.14%-3M-360.32%-290M143.59%51M-32.81%129M-114.81%-8M92.31%-7M
-Change in inventory -370.59%-92M-105.62%-34M-126.72%-31M-104.49%-7M-126.32%-30M-84.47%34M167.75%605M236.47%116M166.38%156M143.51%114M
-Change in payables and accrued expense -348.65%-92M202.56%40M-97.84%9M147.41%55M57.93%-61M118.97%37M31.58%-39M212.70%417M-148.95%-116M-2.84%-145M
-Change in other working capital 585.71%102M192.31%96M1,007.69%144M-127.87%-17M88.89%-10M76.14%-21M-388.89%-104M-94.67%13M155.45%61M-460.00%-90M
Cash from discontinued investing activities
Operating cash flow 28.28%127M-25.64%1.07B-42.86%368M-12.86%366M-4.44%237M-22.05%99M262.47%1.44B209.62%644M75.00%420M627.66%248M
Investing cash flow
Cash flow from continuing investing activities -101.28%-157M-43.21%326M-306.25%-260M-190.70%-78M3.20%742M53.29%-78M-22.95%574M54.93%-64M-93.03%86M419.56%719M
Net PPE purchase and sale -51.69%-179M7.95%-463M-41.59%-160M-3.00%-103M28.70%-82M32.57%-118M0.20%-503M29.38%-113M7.41%-100M-10.58%-115M
Net intangibles purchase and sale -------5M--0--------------0--0--------
Net business purchase and sale --0-16.67%875M-102.27%-1M-84.86%28M-1.10%811M3,600.00%37M-1.87%1.05B300.00%44M-84.20%185M766.67%820M
Net investment purchase and sale --22M---102M--------------0--0------------
Net other investing changes -----22.22%21M-40.00%3M100.00%2M-7.14%13M-57.14%3M237.50%27M-28.57%5M133.33%1M600.00%14M
Cash from discontinued investing activities
Investing cash flow -101.28%-157M-43.21%326M-306.25%-260M-190.70%-78M3.20%742M53.29%-78M-22.95%574M54.93%-64M-93.03%86M419.56%719M
Financing cash flow
Cash flow from continuing financing activities 322.50%169M13.24%-1.61B70.97%-162M1.41%-421M-12.61%-1.06B-48.72%40M-50.61%-1.85B-292.96%-558M70.83%-427M-434.75%-944M
Net issuance payments of debt 10.40%276M-9.46%-1.03B81.27%-56M-46.73%-314M-26.21%-910M-14.68%250M-173.55%-941M-469.14%-299M82.71%-214M-242.77%-721M
Cash dividends paid 50.72%-102M37.77%-514M50.24%-103M50.49%-102M50.72%-102M-0.49%-207M-1.98%-826M-0.49%-207M-1.98%-206M-2.99%-207M
Net other financing activities -66.67%-5M26.19%-62M94.23%-3M28.57%-5M-218.75%-51M66.67%-3M-12.00%-84M-205.88%-52M70.83%-7M27.27%-16M
Cash from discontinued financing activities
Financing cash flow 322.50%169M13.24%-1.61B70.97%-162M1.41%-421M-12.61%-1.06B-48.72%40M-50.61%-1.85B-292.96%-558M70.83%-427M-434.75%-944M
Net cash flow
Beginning cash position -35.92%471M33.15%735M-14.05%569M3.37%674M24.96%771M33.15%735M-22.91%552M19.28%662M4.82%652M-6.80%617M
Current changes in cash 127.87%139M-229.63%-210M-345.45%-54M-268.35%-133M-465.22%-84M60.53%61M286.21%162M128.95%22M777.78%79M130.00%23M
Effect of exchange rate changes 260.00%40M-357.14%-54M-186.27%-44M140.58%28M-208.33%-13M-192.59%-25M127.27%21M-30.14%51M9.21%-69M124.00%12M
End cash Position -15.69%650M-35.92%471M-35.92%471M-14.05%569M3.37%674M24.96%771M33.15%735M33.15%735M19.28%662M4.82%652M
Free cash flow -173.68%-52M-35.68%602M-60.83%208M-19.38%258M16.54%155M60.42%-19M958.72%936M1,006.25%531M142.42%320M188.08%133M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified Opinion--------Unqualified Opinion------

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