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SNAM S.p.A. (MX:SRGSN)
LSE:SRGSN
Mexico Market

SNAM S.p.A. (SRGSN) Cash flow

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SNAM S.p.A. Cash Flow

MX:SRGSN's free cash flow for Q2 2026 was €859.00M. For the 2026 fiscal year, MX:SRGSN's free cash flow was decreased by €980.00M and operating cash flow was €1.83B. See a summary of the company’s cash flow.
Cash Flow
Dec 25Dec 24Dec 23Dec 22Dec 21
Operating Cash Flow
€ 2.69B€ 1.81B€ -135.00M€ 4.11B€ 1.34B
Investing Cash Flow
€ -2.96B€ -2.68B€ -2.23B€ -1.36B€ -1.64B
Financing Cash Flow
€ 113.00M€ 1.29B€ 1.99B€ -2.32B€ -1.41B
End Cash Position
€ 1.64B€ 1.81B€ 1.38B€ 1.76B€ 1.34B
Free Cash Flow
€ -21.00M€ -1.00B€ -1.68B€ 2.79B€ 94.00M
Currency in EUR

SNAM S.p.A. Cash Flow