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CI&T (CINT)
NYSE:CINT
US Market

CI&T (CINT) Cash flow

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CI&T Cash Flow

CINT's free cash flow for Q3 2024 was R$132.39M. For the 2024 fiscal year, CINT's free cash flow was decreased by R$258.01M and operating cash flow was R$147.26M. See a summary of the company’s cash flow.
Cash Flow
Dec 23Dec 22Dec 21Dec 20Dec 19
Operating Cash Flow
R$ 295.24MR$ 36.09MR$ 132.38MR$ 100.97MR$ 91.36M
Investing Cash Flow
R$ 66.19MR$ -82.56MR$ -1.51BR$ -21.39MR$ -16.55M
Financing Cash Flow
R$ -333.31MR$ 100.66MR$ 1.38BR$ 5.41MR$ -69.67M
End Cash Position
R$ 211.64MR$ 185.73MR$ 135.73MR$ 162.83MR$ 79.50M
Free Cash Flow
R$ 271.13MR$ 13.13MR$ 102.47MR$ 79.58MR$ 71.46M
Currency in BRL

CI&T Cash Flow

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