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Operadora de Sites Mexicanos SA de CV Series -A-1- (OPMXF)
:OPMXF
US Market

Operadora de Sites Mexicanos SA de CV Series -A-1- (OPMXF) Cash flow

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Operadora de Sites Mexicanos SA de CV Series -A-1- Cash Flow

OPMXF's free cash flow for Q4 2024 was $3.94B. For the 2024 fiscal year, OPMXF's free cash flow was decreased by $1.70B and operating cash flow was $4.17B. See a summary of the company’s cash flow.
Cash Flow
Dec 24Dec 23Dec 22Dec 21Dec 20
Operating Cash Flow
$ 11.13B$ 10.19B$ 11.93B$ 9.75B$ 1.74B
Investing Cash Flow
$ -1.47B$ -2.24B$ -3.68B$ -10.27B$ -878.38M
Financing Cash Flow
$ -8.25B$ -8.36B$ -9.05B$ -3.08B$ 7.22B
End Cash Position
$ 5.90B$ 4.49B$ 4.89B$ 5.69B$ 9.29B
Free Cash Flow
$ 9.20B$ 7.50B$ 7.82B$ -1.11B$ 665.81M
Currency in MXN

Operadora de Sites Mexicanos SA de CV Series -A-1- Cash Flow

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