Societe Generale Group Cash Flow from Operating Activities 2010-2024 | SCGLY
- Societe Generale Group cash flow from operating activities for the quarter ending September 30, 2024 was $0M, a 0% increase year-over-year.
- Societe Generale Group cash flow from operating activities for the twelve months ending September 30, 2024 was $0M, a 0% increase year-over-year.
- Societe Generale Group annual cash flow from operating activities for 2024 was $-10.927B, a 126.98% decline from 2023.
- Societe Generale Group annual cash flow from operating activities for 2023 was $40.503B, a 1.66% decline from 2022.
- Societe Generale Group annual cash flow from operating activities for 2022 was $41.187B, a 71.54% increase from 2021.
Societe Generale Group Annual Cash Flow Ops (Millions of US $) |
|
---|---|
2024 | $-10,927 |
2023 | $40,503 |
2022 | $41,187 |
2021 | $24,010 |
2020 | $92,288 |
2019 | $11,652 |
2018 | $-1,245 |
2017 | $32,098 |
2016 | $25,153 |
2015 | $23,446 |
2014 | $-18,059 |
2013 | $2,779 |
2012 | $38,348 |
2011 | $N/A |
2010 | $N/A |
2009 | $17,961 |
Sector | Industry | Market Cap | Revenue |
---|---|---|---|
Finance | Banks - Foreign | $41.977B | $28.990B |
SOCIETE GENL FR Group is the sixth largest bank in the euro zone. Its business mix is structured around three core businesses: Retail Banking, Asset Management and Private Banking, Corporate and Investment Banking. The Group is implementing a sustainable growth policy based on the selective development of its products and services, a client-focused culture of innovation in its different markets, and sustained organic growth coupled with acquisitions. |