Enagas SA Net Cash Flow 2017-2024 | ENGGY

Enagas SA net cash flow from 2017 to 2024. Net cash flow can be defined as the total change in cash for the company over the given period.
Enagas SA Annual Net Cash Flow
(Millions of US $)
2024 $495
2023 $-564
2022 $-89
2021 $687
2020 $-502
2019 $-81
2018 $642
2017 $-178
2016 $621
Sector Industry Market Cap Revenue
Utilities Utility - Natural Gas Distribution $3.794B $0.980B
Enagas SA engages in the business of gas transmission business. Its operating segment consists of Infrastructure Activity, Technical System Operator Activity and Unregulated Activities. Infrastructure Activity segment refers to activities such as gas transport which is the movement of gas through the Group's transport network, composed of gas pipelines for the primary and secondary transport of gas to distribution points, regasification which refers to the unloading of gas where is it stored in cryogenic tanks and the storage which is the operation of underground storage facilities. Technical system Operator Activity segment is the development of functions ensuring the continuity and security of supply, as well as good coordination between the access, storage, transportation and distribution points. Unregulated Activities segment refers to all deregulated and transactions related to Group associates. Enagas SA is headquartered in Madrid, Spain.
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