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Grupo Financiero Galicia SA (GGAL)
NASDAQ:GGAL
US Market

Grupo Financiero Galicia SA (GGAL) Cash flow

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Grupo Financiero Galicia SA Cash Flow

GGAL's free cash flow for Q4 2024 was $-7.84T. For the 2024 fiscal year, GGAL's free cash flow was decreased by $-13.94T and operating cash flow was $-7.76T. See a summary of the company’s cash flow.
Cash Flow
Dec 24Dec 23Dec 22Dec 21Dec 20
Operating Cash Flow
$ -12.13T$ 1.67T$ 1.79T$ 1.72T$ 540.28B
Investing Cash Flow
$ 862.19B$ -81.86B$ -58.23B$ -51.06B$ -19.94B
Financing Cash Flow
$ 14.58T$ -229.76B$ 83.96B$ 51.13B$ -103.22B
End Cash Position
$ 7.21T$ 3.27T$ 4.13T$ 3.89T$ 1.11T
Free Cash Flow
$ -12.35T$ 1.59T$ 1.74T$ 1.66T$ 519.33B
Currency in ARS

Grupo Financiero Galicia SA Cash Flow

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