Cimpress plc (3UF) — Financial Flexibility Index

Latest as of March 2026: 0.01x

Cimpress plc (3UF) has a Financial Flexibility Index of 0.01x as of March 2026. Free cash flow of €23.27 Million (operating CF €-16.52 Million minus capex €39.80 Million) represents 0% of total liabilities (€2.51 Billion). Also explore how fast is Cimpress plc growing its equity to track the company's year-over-year net asset growth rate.

Financial Flexibility Index

0.01x
Free Cash Flow / Total Liabilities

Free Cash Flow

€23.27 Million
Operating CF − Capex

Total Liabilities

€2.51 Billion
EUR

Capital Expenditures

€39.80 Million
EUR

Cimpress plc Financial Flexibility Index (2017–2025)

Historical Financial Flexibility Index trend for Cimpress plc across 9 annual periods. Check asset allocation strategy of Cimpress plc to assess the company's strategic physical and investment asset allocation.

Annual Financial Flexibility Index for Cimpress plc (2017–2025)

Year-by-year free cash flow to debt coverage for Cimpress plc. For the full company profile including market capitalisation, see Cimpress plc (3UF) market capitalisation.

Year Flexibility Index Free Cash Flow (EUR) Operating CF Total Liabilities YoY Change
2025 0.18x €451.19 Million €298.07 Million €2.53 Billion ▼ -7.1%
2024 0.19x €463.96 Million €350.72 Million €2.42 Billion ▲ +95.6%
2023 0.10x €241.85 Million €130.29 Million €2.47 Billion ▼ -9.3%
2022 0.11x €273.58 Million €219.54 Million €2.53 Billion ▼ -6.3%
2021 0.12x €303.75 Million €265.22 Million €2.63 Billion ▼ -34.0%
2020 0.17x €388.91 Million €338.44 Million €2.22 Billion ▼ -24.3%
2019 0.23x €401.66 Million €331.10 Million €1.74 Billion ▲ +42.3%
2018 0.16x €253.26 Million €192.33 Million €1.56 Billion ▲ +13.0%
2017 0.14x €230.89 Million €156.74 Million €1.60 Billion
Financial Flexibility Index = (Operating CF − Capex) / Total Liabilities = Free Cash Flow / Total Liabilities