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Grupo Supervielle SA (SUPV)
NYSE:SUPV
US Market

Grupo Supervielle SA (SUPV) Cash flow

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Grupo Supervielle SA Cash Flow

SUPV's free cash flow for Q3 2024 was $477.42B. For the 2024 fiscal year, SUPV's free cash flow was decreased by $-406.11B and operating cash flow was $493.48B. See a summary of the company’s cash flow.
Cash Flow
Dec 23Dec 22Dec 21Dec 20Dec 19
Operating Cash Flow
$ 157.95B$ 565.34B$ 304.33B$ -9.81B$ 138.49B
Investing Cash Flow
$ -18.89B$ -23.53B$ -28.48B$ -6.57B$ -2.68B
Financing Cash Flow
$ -1.00T$ -599.33B$ -329.09B$ 22.28B$ -225.19B
End Cash Position
$ 252.72B$ 169.41B$ 271.32B$ 59.57B$ 57.41B
Free Cash Flow
$ 133.20B$ 539.30B$ 273.86B$ -16.94B$ 136.20B
Currency in ARS

Grupo Supervielle SA Cash Flow

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