Transportadora de Gas del Sur S.A. (TGS)
NYSE: TGS · IEX Real-Time Price · USD
15.77
-0.19 (-1.19%)
Apr 25, 2024, 12:56 PM EDT - Market open

TGS Cash Flow Statement

Millions ARS. Fiscal year is Jan - Dec.
Year 2023202220212020201920182017201620152014
Net Income
23,517100,640126,9689,66226,31423,9088,8471,106-172.11104.98
Depreciation & Amortization
60,62860,95158,29918,1167,5944,6563,1082,095261.39254.31
Other Operating Activities
105,426-51,308.77-1,463.2656,060-6,168.39-1,764.02-3,406.83924.5377.75633.81
Operating Cash Flow
189,571110,282183,80483,83827,73926,8008,5484,126467.04993.1
Operating Cash Flow Growth
71.90%-40.00%119.24%202.23%3.51%213.52%107.17%783.49%-52.97%-
Capital Expenditures
-135,082.97-78,809.62-58,528.42-22,844.49-32,739.12-17,013.25-2,986.3-1,017.59-401.98-350.56
Change in Investments
-71,345.43-46,424.92-125,172.78-65,621.12-1,462.97,105-2,978.85119.47173.7182
Investing Cash Flow
-206,428.41-125,234.54-183,701.19-88,465.61-34,202.02-9,908.59-5,965.14-898.12-228.28-168.56
Dividends Paid
000-0.05-20,057.99-9,066.55-0.01-226.90-212.46
Share Issuance / Repurchase
000-7,999.39-5,323.62-2,975.820000
Debt Issued / Paid
24,65311,292-5,820.91-6,921.12,12316,334-92.11-1,772.02-294.56-769.93
Other Financing Activities
----------0
Financing Cash Flow
24,65311,292-5,820.91-14,920.54-23,258.754,291-92.12-1,998.92-294.56-982.39
Exchange Rate Effect
1,451911.021,9602,2367,64614,006346.13176.77138.9253.47
Net Cash Flow
7,796-3,660.34-5,718.19-19,548.41-29,721.3621,1832,4911,229-55.8-157.86
Free Cash Flow
54,48831,472125,27560,993-4,999.719,7865,5623,10965.06642.54
Free Cash Flow Growth
73.13%-74.88%105.39%--75.96%78.92%4678.45%-89.88%-
Free Cash Flow Margin
12.03%6.14%23.21%37.13%-5.01%13.72%18.12%21.23%1.54%14.93%
Free Cash Flow Per Share
361.92209.05832.11400.02-31.7162.0635.0018.840.393.89
Source: Financials are provided by Nasdaq Data Link and sourced from audited reports submitted to the Securities and Exchange Commission (SEC).