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TATNEFT PJSC (OAOFY)
OTHER OTC:OAOFY
US Market
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TATNEFT PJSC (OAOFY) Cash flow

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TATNEFT PJSC Cash Flow

OAOFY's free cash flow for Q2 2025 was ₽19.52B. For the 2025 fiscal year, OAOFY's free cash flow was decreased by ₽― and operating cash flow was ₽52.33B. See a summary of the company’s cash flow.
Cash Flow
Dec 24Dec 24Dec 23Dec 22Dec 21
Operating Cash Flow
₽ 425.13B₽ ―₽ 326.63B₽ 375.68B₽ 267.49B
Investing Cash Flow
₽ -181.64B₽ ―₽ -296.91B₽ -117.05B₽ -172.64B
Financing Cash Flow
₽ -212.98B₽ ―₽ -121.57B₽ -132.01B₽ -68.31B
End Cash Position
₽ 117.45B₽ ―₽ 84.11B₽ 168.24B₽ 66.49B
Free Cash Flow
₽ 254.16B₽ ―₽ 103.03B₽ 208.80B₽ 148.39B
Currency in RUB

TATNEFT PJSC Cash Flow

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