Stora Enso Oyj A (STEAV) — Cash Flow-to-Debt Ratio

Latest as of June 2025: 0.01x

Stora Enso Oyj A (STEAV) has a Cash Flow-to-Debt Ratio of 0.01x as of June 2025, meaning its operating cash flow of €72.00 Million could theoretically repay 0% of its total liabilities (€9.72 Billion) in one year. See Stora Enso Oyj A free cash flow generation to measure how efficiently the company converts operating cash flow to free cash.

CF-to-Debt Ratio

0.01x
Operating CF / Total Liabilities

Operating Cash Flow

€72.00 Million
EUR

Total Liabilities

€9.72 Billion
EUR

Data as of

Jun 2025
Most recent filing

Stora Enso Oyj A Cash Flow-to-Debt Ratio (1999–2024)

Historical debt coverage capacity for Stora Enso Oyj A across 26 annual periods. Also explore Stora Enso Oyj A equity growth rate to track the company's year-over-year net asset growth rate.

Annual Cash Flow-to-Debt Ratio for Stora Enso Oyj A (1999–2024)

Year-by-year debt coverage analysis for Stora Enso Oyj A. For market capitalisation and broader financial context, see STEAV stock market capitalisation.

Year CF-to-Debt Ratio Operating CF (EUR) Total Liabilities YoY Change
2024 0.10x €952.00 Million €9.81 Billion ▲ +27.3%
2023 0.08x €752.00 Million €9.87 Billion ▼ -59.4%
2022 0.19x €1.58 Billion €8.42 Billion ▲ +6.4%
2021 0.18x €1.48 Billion €8.36 Billion ▲ +35.2%
2020 0.13x €1.13 Billion €8.64 Billion ▼ -39.6%
2019 0.22x €1.65 Billion €7.63 Billion ▲ +21.0%
2018 0.18x €1.09 Billion €6.12 Billion ▼ -15.1%
2017 0.21x €1.20 Billion €5.71 Billion ▼ -0.1%
2016 0.21x €1.36 Billion €6.46 Billion ▲ +18.6%
2015 0.18x €1.22 Billion €6.85 Billion ▲ +52.2%
2014 0.12x €888.00 Million €7.61 Billion ▼ -11.6%
2013 0.13x €988.00 Million €7.48 Billion ▲ +10.4%
2012 0.12x €935.60 Million €7.82 Billion ▲ +20.9%
2011 0.10x €696.80 Million €7.04 Billion ▼ -17.3%
2010 0.12x €811.90 Million €6.78 Billion ▼ -41.1%
2009 0.20x €1.30 Billion €6.41 Billion ▲ +118.6%
2008 0.09x €612.50 Million €6.59 Billion ▼ -19.8%
2007 0.12x €899.80 Million €7.76 Billion ▼ -24.1%
2006 0.15x €1.46 Billion €9.54 Billion ▲ +113.7%
2005 0.07x €740.30 Million €10.36 Billion ▼ -58.2%
2004 0.17x €1.41 Billion €8.22 Billion ▲ +0.5%
2003 0.17x €1.69 Billion €9.93 Billion ▲ +19.6%
2002 0.14x €1.43 Billion €10.04 Billion ▲ +7.2%
2001 0.13x €1.70 Billion €12.83 Billion ▼ -22.6%
2000 0.17x €2.17 Billion €12.64 Billion ▲ +16.6%
1999 0.15x €1.46 Billion €9.91 Billion
Cash Flow-to-Debt Ratio = Operating Cash Flow / Total Liabilities. Higher is better for debt service capacity.