SGS SA Cash Flow from Operating Activities 2012-2023 | SGSOY

SGS SA annual/quarterly cash flow from operating activities history and growth rate from 2012 to 2023. Cash flow from operating activities can be defined as a company's cash flows from operations.
  • SGS SA cash flow from operating activities for the quarter ending December 31, 2023 was $1.251B, a 233.21% increase year-over-year.
  • SGS SA cash flow from operating activities for the twelve months ending December 31, 2023 was $3.882B, a 20.34% increase year-over-year.
  • SGS SA annual cash flow from operating activities for 2022 was $1.079B, a 15.61% decline from 2021.
  • SGS SA annual cash flow from operating activities for 2021 was $1.279B, a 1.11% increase from 2020.
  • SGS SA annual cash flow from operating activities for 2020 was $1.265B, a 9.38% increase from 2019.
SGS SA Annual Cash Flow Ops
(Millions of US $)
2022 $1,079
2021 $1,279
2020 $1,265
2019 $1,156
2018 $1,098
2017 $1,003
2016 $1,030
2015 $998
2014 $998
2013 $1,023
2012 $854
2011 $781
2010 $
Sector Industry Market Cap Revenue
Business Services Business Services $17.580B $7.372B
SGS SA is an inspection, verification, testing and certification company. The Company provides specialized business solutions that improve quality, safety, productivity and reduces risk. Its portfolio of services includes agricultural services, minerals services, oil, gas and chemicals services, life science services, consumer testing services, systems and services certification, industrial services, environmental services, automotive services, government and institutions services. SGS SA is headquartered in Geneva, Switzerland.
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