Spire Cash Flow from Operating Activities 2010-2024 | SR

Spire cash flow from operating activities from 2010 to 2024. Cash flow from operating activities can be defined as a company's cash flows from operations.
Spire Annual Cash Flow Ops
(Millions of US $)
2023 $440
2022 $55
2021 $250
2020 $470
2019 $451
2018 $457
2017 $288
2016 $328
2015 $322
2014 $123
2013 $164
2012 $128
2011 $167
2010 $107
2009 $229
Sector Industry Market Cap Revenue
Utilities Utility - Natural Gas Distribution $3.614B $2.666B
Spire Inc. is a natural gas company in the United States. Its natural gas-related businesses include Spire Marketing, Spire STL Pipeline and Spire Storage. The company operates via two segments, namely Gas Utility and Gas Marketing. The Gas Utility segment is the combination of all the regulated activities of its utilities and is a major contributor to the company's earnings. The Gas Marketing segment includes the results of Spire Marketing, a non-regulated subsidiary that markets natural gas and related activities. It also includes utilization natural gas storage contracts for providing natural gas sales. The Other segment includes unallocated corporate items and operations of Spire STL Pipeline LLC and Spire Storage West LLC. Spire STL Pipeline is a wholly owned subsidiary of Spire.
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