Inversiones Aguas Metropolitanas S.A. (SNSE:IAM)
Chile flag Chile · Delayed Price · Currency is CLP
930.00
+8.27 (0.90%)
Jun 4, 2026, 11:07 AM CLT

SNSE:IAM Cash Flow Statement

Millions CLP. Fiscal year is Jan - Dec.
Fiscal Year
TTMFY 2025FY 2024FY 2023FY 2022FY 2021
Period Ending
Mar '26 Dec '25 Dec '24 Dec '23 Dec '22 Dec '21
Net Income
73,71468,10660,54165,27741,32048,990
Depreciation & Amortization
103,58982,37276,21572,06970,09066,645
Other Amortization
6,7805,9386,0125,6284,7312,560
Other Operating Activities
217,409222,157177,19989,745124,916111,751
Operating Cash Flow
401,492378,573319,966232,719241,057229,946
Operating Cash Flow Growth
19.07%18.32%37.49%-3.46%4.83%25.16%
Capital Expenditures
-207,529-198,149-178,040-149,646-161,367-161,592
Sale of Property, Plant & Equipment
102.9861.235,2065,001646.544,693
Sale (Purchase) of Intangibles
-5,217-4,512-3,508-4,494-5,180-772.17
Other Investing Activities
8,2988,7466,317-863.68--
Investing Cash Flow
-204,346-193,855-170,025-150,002-165,901-157,671
Short-Term Debt Issued
----30,000151,241
Long-Term Debt Issued
-169,766143,39711,41658,73739,854
Total Debt Issued
7,513169,766143,39711,41688,737191,095
Long-Term Debt Repaid
--117,766-157,959-75,176-73,747-167,894
Net Debt Issued (Repaid)
-71,22352,000-14,561-63,76114,99023,201
Common Dividends Paid
-88,039-125,513-88,603-88,707-74,159-108,882
Other Financing Activities
-47,735-47,531-47,582---
Financing Cash Flow
-206,997-121,044-150,746-152,468-59,170-85,681
Net Cash Flow
-9,85163,674-804.54-69,75015,987-13,406
Free Cash Flow
193,963180,423141,92683,07479,69168,354
Free Cash Flow Growth
8.42%27.13%70.84%4.25%16.59%96.91%
Free Cash Flow Margin
26.72%25.31%21.40%12.96%13.73%13.50%
Free Cash Flow Per Share
193.96180.42141.9383.0779.6968.35
Cash Interest Paid
47,56746,30545,98448,00236,61826,572
Cash Income Tax Paid
--8,99229,88753,50530,11714,171
Levered Free Cash Flow
59,144-3,14738,77936,0607,08922,742
Unlevered Free Cash Flow
92,64931,17369,35366,38329,76539,924