Central Puerto S.A Free Cash Flow 2017-2023 | CEPU

Central Puerto S.A free cash flow from 2017 to 2023. Free cash flow can be defined as a measure of financial performance calculated as operating cash flow minus capital expenditures.
Central Puerto S.A Annual Free Cash Flow
2023 439.96
2022 402.98
2021 255.24
2020 103.99
2019 -114.49
2018 -115.48
2017 -66.11
2016 -6.75
Central Puerto S.A Quarterly Free Cash Flow
2023-12-31 439.96
2023-09-30 180.78
2023-06-30 100.01
2023-03-31 22.15
2022-12-31 402.98
2022-09-30 254.61
2022-06-30 140.53
2022-03-31 74.75
2021-12-31 255.24
2021-09-30 157.94
2021-06-30 45.44
2021-03-31 39.32
2020-12-31 103.99
2020-09-30 59.93
2020-06-30 33.69
2020-03-31 -16.48
2019-12-31 -114.49
2019-09-30 -54.12
2019-06-30 -68.01
2019-03-31 0.33
2018-12-31 -115.48
2018-09-30 -76.90
2018-06-30 -26.58
2018-03-31 67.02
2017-09-30 35.34
2016-12-31
Sector Industry Market Cap Revenue
Oils/Energy Other Alternate Energy $1.505B $1.196B
Central Puerto SA is engaged in the power production. The Company focuses on the generation and commercialization of electric power. It facilities range includes thermoelectric power plants, hydroelectric power plants as well as cogeneration units. Central Puerto SA is based in BUENOS AIRES, Argentina.
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