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Ryanair (RYAAY)

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  • 54.630
  • -1.460-2.60%
Trading May 19 14:09 ET
28.42BMarket Cap11.48P/E (TTM)

Ryanair (RYAAY) Cash Flow

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Mar 31, 2026
(Q4)Mar 31, 2026
(Q3)Dec 31, 2025
(Q2)Sep 30, 2025
(Q1)Jun 30, 2025
(FY)Mar 31, 2025
(Q4)Mar 31, 2025
(Q3)Dec 31, 2024
(Q2)Sep 30, 2024
(Q1)Jun 30, 2024
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
8.17%3.69B
-14.30%1.99B
15.94%-72.8M
482.40%320.9M
29.42%1.46B
8.16%3.42B
23.95%2.32B
75.59%-86.6M
-85.83%55.1M
-9.98%1.13B
Net income from continuing operations
34.88%2.17B
-20.51%-395.5M
-79.54%30.4M
20.10%1.72B
127.75%819.9M
-15.94%1.61B
-19.00%-328.2M
904.05%148.6M
-5.54%1.43B
-45.69%360M
Operating gains losses
-34.72%4.7M
-124.23%-8.6M
80.73%-8.5M
-198.10%-20.6M
915.38%42.4M
201.41%7.2M
212.70%35.5M
-400.00%-44.1M
3,100.00%21M
-150.00%-5.2M
Depreciation and amortization
13.09%1.37B
21.82%359.5M
11.82%326.4M
9.55%344.2M
9.61%343.3M
14.62%1.21B
24.36%295.1M
10.82%291.9M
10.67%314.2M
13.93%313.2M
Deferred tax
44.44%249.6M
0.82%-97.2M
-22.45%-6M
3.24%242.5M
170.34%110.3M
-18.07%172.8M
-70.73%-98M
59.50%-4.9M
15.94%234.9M
-47.56%40.8M
Other non cash items
-766.67%-10M
----
----
64.86%-9.1M
44.55%-5.6M
-86.96%1.5M
----
----
5.82%-25.9M
-217.44%-10.1M
Change In working capital
-70.85%140M
-5.04%2.33B
16.56%-428.4M
-0.26%-1.92B
-65.81%154.1M
1,695.68%480.3M
24.93%2.45B
20.04%-513.4M
-21.81%-1.91B
108.08%450.7M
-Change in receivables
910.34%29.3M
451.91%64.4M
-177.64%-30.9M
249.09%19.2M
2.90%-23.4M
117.37%2.9M
-771.43%-18.3M
763.33%39.8M
-72.91%5.5M
16.61%-24.1M
-Change in inventory
-112.50%-200K
150.00%500K
--0
-127.27%-300K
-200.00%-400K
900.00%1.6M
--200K
80.00%-100K
320.00%1.1M
-50.00%400K
-Change in payables and accrued expense
-75.09%267.4M
-5.24%2.53B
-0.43%-211.1M
-9.48%-2.37B
-58.96%320.5M
203.19%1.07B
26.81%2.67B
61.07%-210.2M
-58.78%-2.16B
407.14%781M
-Change in other current assets
75.87%-141.3M
-50.90%-266.8M
45.60%-179.8M
92.05%432.3M
58.14%-127M
-63.12%-585.6M
-38.67%-176.8M
-249.00%-330.5M
198.47%225.1M
-430.50%-303.4M
-Change in other working capital
-24.59%-15.2M
141.72%6.8M
46.77%-6.6M
-98.98%200K
-387.50%-15.6M
-46.99%-12.2M
-106.33%-16.3M
-1,140.00%-12.4M
1,058.82%19.7M
-190.91%-3.2M
Cash from discontinued investing activities
Operating cash flow
8.17%3.69B
-14.30%1.99B
15.94%-72.8M
482.40%320.9M
29.42%1.46B
8.16%3.42B
23.95%2.32B
75.59%-86.6M
-85.83%55.1M
-9.98%1.13B
Investing cash flow
Cash flow from continuing investing activities
-82.52%-2.61B
-126.44%-1.27B
-279.89%-326.5M
190.70%238.9M
-59.23%-1.26B
8.26%-1.43B
-85.24%-559.8M
149.79%181.5M
-126.90%-263.4M
57.83%-789.8M
Capital expenditure reported
-21.89%-1.89B
0.98%-455.2M
-59.48%-323.9M
-26.35%-490.5M
-24.19%-622.8M
35.09%-1.55B
-0.31%-459.7M
41.74%-203.1M
25.56%-388.2M
52.84%-501.5M
Net PPE purchase and sale
----
----
----
----
----
--0
----
----
----
----
Net investment purchase and sale
-617.28%-712.3M
-711.59%-812.4M
-98.63%5.5M
484.46%729.4M
-120.19%-634.8M
-83.17%137.7M
-170.64%-100.1M
2,848.63%401.3M
-91.68%124.8M
64.39%-288.3M
Net other investing changes
51.50%-8.1M
--0
----
----
----
-227.48%-16.7M
--0
----
----
----
Cash from discontinued investing activities
Investing cash flow
-82.52%-2.61B
-126.44%-1.27B
-279.89%-326.5M
190.70%238.9M
-59.23%-1.26B
8.26%-1.43B
-85.24%-559.8M
149.79%181.5M
-126.90%-263.4M
57.83%-789.8M
Financing cash flow
Cash flow from continuing financing activities
-10.20%-2.2B
37.53%-383.5M
43.98%-180.1M
-53.92%-1.23B
-55.11%-407M
-50.57%-2B
-172.00%-613.9M
-2,822.73%-321.5M
25.06%-799.2M
-1,035.93%-262.4M
Net issuance payments of debt
-1,316.78%-1.22B
14.77%-7.5M
82.97%-9.3M
-9,031.91%-858.4M
-2,465.44%-348.9M
92.44%-86.4M
69.66%-8.8M
-153.95%-54.6M
99.12%-9.4M
47.08%-13.6M
Net common stock issuance
63.79%-533.3M
52.45%-173.4M
37.73%-159.1M
76.37%-142.7M
76.65%-58.1M
-9,081.10%-1.47B
-13,125.00%-364.7M
-2,533.33%-255.5M
-120,880.00%-603.9M
-9,669.23%-248.8M
Cash dividends paid
-1.28%-443.3M
15.72%-202.6M
-2.63%-11.7M
-23.18%-229M
--0
-119.40%-437.7M
-20.50%-240.4M
---11.4M
---185.9M
--0
Cash from discontinued financing activities
Financing cash flow
-10.20%-2.2B
37.53%-383.5M
43.98%-180.1M
-53.92%-1.23B
-55.11%-407M
-50.57%-2B
-172.00%-613.9M
-2,822.73%-321.5M
25.06%-799.2M
-1,035.93%-262.4M
Net cash flow
Beginning cash position
-0.31%3.86B
-13.07%2.39B
1.27%2.96B
-8.64%3.61B
-0.31%3.86B
7.67%3.88B
9.24%2.75B
-10.25%2.93B
33.85%3.96B
7.67%3.88B
Current changes in cash
-8,639.06%-1.12B
-70.57%337.5M
-155.69%-579.4M
33.47%-670.3M
-377.05%-206.4M
-104.72%-12.8M
-14.69%1.15B
68.97%-226.6M
-434.05%-1.01B
111.56%74.5M
Effect of exchange rate changes
-1,714.29%-11.3M
112.10%4.2M
-85.27%7.6M
195.79%20.5M
-938.46%-43.6M
-85.71%700K
-377.60%-34.7M
541.03%51.6M
-621.95%-21.4M
--5.2M
End cash Position
-29.25%2.73B
-29.25%2.73B
-13.07%2.39B
1.27%2.96B
-8.64%3.61B
-0.31%3.86B
-0.31%3.86B
9.24%2.75B
-10.25%2.93B
33.85%3.96B
Free cash flow
-3.26%1.8B
-17.59%1.53B
-36.93%-396.7M
49.08%-169.6M
33.62%835.4M
143.24%1.86B
31.61%1.86B
58.81%-289.7M
-151.02%-333.1M
232.38%625.2M
Currency Unit
EUR
EUR
EUR
EUR
EUR
EUR
EUR
EUR
EUR
EUR
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
--
--
--
--
(FY)Mar 31, 2026(Q4)Mar 31, 2026(Q3)Dec 31, 2025(Q2)Sep 30, 2025(Q1)Jun 30, 2025(FY)Mar 31, 2025(Q4)Mar 31, 2025(Q3)Dec 31, 2024(Q2)Sep 30, 2024(Q1)Jun 30, 2024
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 8.17%3.69B-14.30%1.99B15.94%-72.8M482.40%320.9M29.42%1.46B8.16%3.42B23.95%2.32B75.59%-86.6M-85.83%55.1M-9.98%1.13B
Net income from continuing operations 34.88%2.17B-20.51%-395.5M-79.54%30.4M20.10%1.72B127.75%819.9M-15.94%1.61B-19.00%-328.2M904.05%148.6M-5.54%1.43B-45.69%360M
Operating gains losses -34.72%4.7M-124.23%-8.6M80.73%-8.5M-198.10%-20.6M915.38%42.4M201.41%7.2M212.70%35.5M-400.00%-44.1M3,100.00%21M-150.00%-5.2M
Depreciation and amortization 13.09%1.37B21.82%359.5M11.82%326.4M9.55%344.2M9.61%343.3M14.62%1.21B24.36%295.1M10.82%291.9M10.67%314.2M13.93%313.2M
Deferred tax 44.44%249.6M0.82%-97.2M-22.45%-6M3.24%242.5M170.34%110.3M-18.07%172.8M-70.73%-98M59.50%-4.9M15.94%234.9M-47.56%40.8M
Other non cash items -766.67%-10M--------64.86%-9.1M44.55%-5.6M-86.96%1.5M--------5.82%-25.9M-217.44%-10.1M
Change In working capital -70.85%140M-5.04%2.33B16.56%-428.4M-0.26%-1.92B-65.81%154.1M1,695.68%480.3M24.93%2.45B20.04%-513.4M-21.81%-1.91B108.08%450.7M
-Change in receivables 910.34%29.3M451.91%64.4M-177.64%-30.9M249.09%19.2M2.90%-23.4M117.37%2.9M-771.43%-18.3M763.33%39.8M-72.91%5.5M16.61%-24.1M
-Change in inventory -112.50%-200K150.00%500K--0-127.27%-300K-200.00%-400K900.00%1.6M--200K80.00%-100K320.00%1.1M-50.00%400K
-Change in payables and accrued expense -75.09%267.4M-5.24%2.53B-0.43%-211.1M-9.48%-2.37B-58.96%320.5M203.19%1.07B26.81%2.67B61.07%-210.2M-58.78%-2.16B407.14%781M
-Change in other current assets 75.87%-141.3M-50.90%-266.8M45.60%-179.8M92.05%432.3M58.14%-127M-63.12%-585.6M-38.67%-176.8M-249.00%-330.5M198.47%225.1M-430.50%-303.4M
-Change in other working capital -24.59%-15.2M141.72%6.8M46.77%-6.6M-98.98%200K-387.50%-15.6M-46.99%-12.2M-106.33%-16.3M-1,140.00%-12.4M1,058.82%19.7M-190.91%-3.2M
Cash from discontinued investing activities
Operating cash flow 8.17%3.69B-14.30%1.99B15.94%-72.8M482.40%320.9M29.42%1.46B8.16%3.42B23.95%2.32B75.59%-86.6M-85.83%55.1M-9.98%1.13B
Investing cash flow
Cash flow from continuing investing activities -82.52%-2.61B-126.44%-1.27B-279.89%-326.5M190.70%238.9M-59.23%-1.26B8.26%-1.43B-85.24%-559.8M149.79%181.5M-126.90%-263.4M57.83%-789.8M
Capital expenditure reported -21.89%-1.89B0.98%-455.2M-59.48%-323.9M-26.35%-490.5M-24.19%-622.8M35.09%-1.55B-0.31%-459.7M41.74%-203.1M25.56%-388.2M52.84%-501.5M
Net PPE purchase and sale ----------------------0----------------
Net investment purchase and sale -617.28%-712.3M-711.59%-812.4M-98.63%5.5M484.46%729.4M-120.19%-634.8M-83.17%137.7M-170.64%-100.1M2,848.63%401.3M-91.68%124.8M64.39%-288.3M
Net other investing changes 51.50%-8.1M--0-------------227.48%-16.7M--0------------
Cash from discontinued investing activities
Investing cash flow -82.52%-2.61B-126.44%-1.27B-279.89%-326.5M190.70%238.9M-59.23%-1.26B8.26%-1.43B-85.24%-559.8M149.79%181.5M-126.90%-263.4M57.83%-789.8M
Financing cash flow
Cash flow from continuing financing activities -10.20%-2.2B37.53%-383.5M43.98%-180.1M-53.92%-1.23B-55.11%-407M-50.57%-2B-172.00%-613.9M-2,822.73%-321.5M25.06%-799.2M-1,035.93%-262.4M
Net issuance payments of debt -1,316.78%-1.22B14.77%-7.5M82.97%-9.3M-9,031.91%-858.4M-2,465.44%-348.9M92.44%-86.4M69.66%-8.8M-153.95%-54.6M99.12%-9.4M47.08%-13.6M
Net common stock issuance 63.79%-533.3M52.45%-173.4M37.73%-159.1M76.37%-142.7M76.65%-58.1M-9,081.10%-1.47B-13,125.00%-364.7M-2,533.33%-255.5M-120,880.00%-603.9M-9,669.23%-248.8M
Cash dividends paid -1.28%-443.3M15.72%-202.6M-2.63%-11.7M-23.18%-229M--0-119.40%-437.7M-20.50%-240.4M---11.4M---185.9M--0
Cash from discontinued financing activities
Financing cash flow -10.20%-2.2B37.53%-383.5M43.98%-180.1M-53.92%-1.23B-55.11%-407M-50.57%-2B-172.00%-613.9M-2,822.73%-321.5M25.06%-799.2M-1,035.93%-262.4M
Net cash flow
Beginning cash position -0.31%3.86B-13.07%2.39B1.27%2.96B-8.64%3.61B-0.31%3.86B7.67%3.88B9.24%2.75B-10.25%2.93B33.85%3.96B7.67%3.88B
Current changes in cash -8,639.06%-1.12B-70.57%337.5M-155.69%-579.4M33.47%-670.3M-377.05%-206.4M-104.72%-12.8M-14.69%1.15B68.97%-226.6M-434.05%-1.01B111.56%74.5M
Effect of exchange rate changes -1,714.29%-11.3M112.10%4.2M-85.27%7.6M195.79%20.5M-938.46%-43.6M-85.71%700K-377.60%-34.7M541.03%51.6M-621.95%-21.4M--5.2M
End cash Position -29.25%2.73B-29.25%2.73B-13.07%2.39B1.27%2.96B-8.64%3.61B-0.31%3.86B-0.31%3.86B9.24%2.75B-10.25%2.93B33.85%3.96B
Free cash flow -3.26%1.8B-17.59%1.53B-36.93%-396.7M49.08%-169.6M33.62%835.4M143.24%1.86B31.61%1.86B58.81%-289.7M-151.02%-333.1M232.38%625.2M
Currency Unit EUREUREUREUREUREUREUREUREUREUR
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----------Unqualified Opinion--------
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