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Property & Building Corp. Ltd. (IL:PTBL)
:PTBL
Israel Market

Propert & Buil (PTBL) Cash flow

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Propert & Buil Cash Flow

IL:PTBL's free cash flow for Q3 2024 was 213.00M. For the 2024 fiscal year, IL:PTBL's free cash flow was decreased by 714.00M and operating cash flow was 213.00M. See a summary of the company’s cash flow.
Cash Flow
Dec 23Dec 22Dec 21Dec 20Dec 19
Operating Cash Flow
858.00M 923.00M 244.00M 271.00M 642.00M
Investing Cash Flow
-28.00M 323.00M -216.00M 1.04B 114.00M
Financing Cash Flow
-1.05B -1.29B -441.00M -1.06B -1.33B
End Cash Position
927.00M 1.15B 1.18B 1.61B 1.47B
Free Cash Flow
858.00M 144.00M 253.00M 271.00M 642.00M
Currency in ILS

Propert & Buil Cash Flow

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