Grupo Carso SA de CV Free Cash Flow 2017-2023 | GPOVY

Grupo Carso SA de CV 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.
Grupo Carso SA de CV Annual Free Cash Flow
2022 545.84
2021 37.51
2020 278.35
2019 249.79
2017 213.18
2016 -71.28
2015 151.05
Grupo Carso SA de CV Quarterly Free Cash Flow
2023-06-30 215.41
2023-03-31 -73.81
2022-12-31 545.84
2022-09-30 112.85
2022-06-30 68.01
2022-03-31 -93.69
2021-12-31 37.51
2021-09-30 -47.67
2021-06-30 -111.21
2021-03-31 -256.82
2020-12-31 278.35
2020-09-30 -43.07
2020-06-30 -103.32
2020-03-31 -238.29
2019-12-31 249.79
2019-09-30 129.26
2019-06-30 -99.18
2019-03-31 -112.47
2018-09-30 252.02
2018-06-30 127.58
2018-03-31 13.77
2017-12-31 213.18
2017-09-30 133.50
2017-06-30 70.13
2017-03-31 -10.77
2016-12-31 -71.28
2016-09-30 -170.82
2016-06-30 -124.92
2016-03-31 -70.78