Redeia Corporacion SA - Cash Flow from Operating Activities 2021-2025 | RDEIY

Redeia Corporacion SA - cash flow from operating activities from 2021 to 2025. Cash flow from operating activities can be defined as a company's cash flows from operations.
Redeia Corporacion SA - Annual Cash Flow Ops
(Millions of US $)
2024 $1,034
2023 $532
2022 $1,651
2021 $1,899
2020 $1,577
2017 $N/A
2016 $N/A
Sector Industry Market Cap Revenue
Oils/Energy Other Alternate Energy $1.176B $1.725B
Redeia Corporacion SA is engaged in energy sector. The Company focuses on the management and operation of high-voltage electricity transmission grids as well as is responsible for its development, maintenance and improvement of the network's installations. Redeia Corporacion SA, formerly known as Red Electrica, is based in Spain.
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BKV (BKV) United States $1.881B 0.00
Central Puerto S.A (CEPU) Argentina $1.787B 11.35
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Hallador Energy (HNRG) United States $0.659B 0.00
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ITM POWER (ITMPF) United Kingdom $0.617B 0.00
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Kolibri Global Energy (KGEI) United States $0.291B 15.19
Unit (UNTC) United States $0.263B 5.37
Alvopetro Energy (ALVOF) Canada $0.167B 9.72
Verde Clean Fuels (VGAS) United States $0.152B 0.00
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Sunrise New Energy (EPOW) China $0.024B 0.00
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CN Energy Group (CNEY) China $0.008B 0.00
Brenmiller Energy (BNRG) Israel $0.007B 0.00
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