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Redeia Corporación (MX:REEN)
LSE:REEN
Mexico Market

Redeia Corporación (REEN) Cash flow

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Redeia Corporación Cash Flow

MX:REEN's free cash flow for Q2 2026 was €-343.42M. For the 2026 fiscal year, MX:REEN's free cash flow was decreased by €-270.87M and operating cash flow was €369.25M. See a summary of the company’s cash flow.
Cash Flow
Dec 25Dec 24Dec 23Dec 22Dec 21
Operating Cash Flow
€ 1.01B€ 955.63M€ 491.90M€ 1.57B€ 1.61B
Investing Cash Flow
€ -717.50M€ -947.38M€ -66.47M€ -1.64B€ -537.64M
Financing Cash Flow
€ -636.80M€ 324.46M€ -547.20M€ -708.19M€ 22.32M
End Cash Position
€ 546.20M€ 889.64M€ 675.42M€ 794.82M€ 1.57B
Free Cash Flow
€ -393.87M€ -123.00M€ -464.35M€ 1.03B€ 1.05B
Currency in EUR

Redeia Corporación Cash Flow