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SIG PLC (SIIGF)
OTHER OTC:SIIGF
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SIG plc (SIIGF) Cash flow

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SIG plc Cash Flow

SIIGF's free cash flow for Q2 2026 was £20.70M. For the 2026 fiscal year, SIIGF's free cash flow was decreased by £-6.10M and operating cash flow was £26.50M. See a summary of the company’s cash flow.
Cash Flow
Dec 25Dec 24Dec 23Dec 22Dec 21
Operating Cash Flow
£ 68.80M£ 75.50M£ 114.40M£ 89.20M£ -38.60M
Investing Cash Flow
£ -9.20M£ -16.60M£ -8.70M£ -42.00M£ -26.50M
Financing Cash Flow
£ -72.40M£ -98.60M£ -103.00M£ -65.50M£ -17.60M
End Cash Position
£ 81.30M£ 87.40M£ 132.20M£ 130.10M£ 145.10M
Free Cash Flow
£ 52.70M£ 58.80M£ 98.60M£ 73.90M£ -57.20M
Currency in GBP

SIG plc Cash Flow