Cooper-Standard Holdings Inc. Cash Flow from Financial Activities 2010-2024 | CPS
Cooper-Standard Holdings Inc. Annual Cash Flow Financial (Millions of US $) |
|
---|---|
2023 | $-81 |
2022 | $-4 |
2021 | $3 |
2020 | $208 |
2019 | $-84 |
2018 | $-14 |
2017 | $-76 |
2016 | $-63 |
2015 | $-12 |
2014 | $49 |
2013 | $-23 |
2012 | $-58 |
2011 | $-25 |
2010 | $-114 |
2009 | $166 |
Sector | Industry | Market Cap | Revenue |
---|---|---|---|
Auto/Tires/Trucks | AUTO/TRUCK-ORIG | $0.255B | $2.731B |
Cooper-Standard Holdings Inc. operates as a supplier of systems and components for the automotive industry. Its products include sealing and trim, fuel and brake delivery, fluid transfer, thermal and emissions and anti-vibration systems. The company markets its products directly to automotive original equipment manufacturers, tier I and tier II suppliers, and non-automotive manufacturers. Cooper-Standard Holdings Inc. is headquartered in Novi, Michigan. |