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GALATA WIND ENERJI A.S. (TR:GWIND)
:GWIND
Turkey Market

GALATA WIND ENERJI A.S. (GWIND) Cash flow

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GALATA WIND ENERJI A.S. Cash Flow

TR:GWIND's free cash flow for Q2 2026 was ₺-431.97M. For the 2026 fiscal year, TR:GWIND's free cash flow was decreased by ₺1.40B and operating cash flow was ₺-120.43M. See a summary of the company’s cash flow.
Cash Flow
Dec 25Dec 24Dec 23Dec 22Dec 21
Operating Cash Flow
₺ 1.52B₺ 1.49B₺ 1.97B₺ 1.03B₺ 285.47M
Investing Cash Flow
₺ -2.33B₺ -953.83M₺ -2.06B₺ -257.76M₺ -83.51M
Financing Cash Flow
₺ 32.23M₺ 710.33M₺ -636.06M₺ -417.58M₺ -162.28M
End Cash Position
₺ 1.19B₺ 1.31B₺ 65.94M₺ 659.08M₺ 158.92M
Free Cash Flow
₺ 883.75M₺ -511.71M₺ 650.78M₺ 954.57M₺ 199.96M
Currency in TRY

GALATA WIND ENERJI A.S. Cash Flow