Terna Energy Societe Anonyme Commercial Technical Company

TREAF · OTC
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12/31/2024
12/31/2023
12/31/2022
12/31/2021
Operating Activities
Net Income$93,767$81,073$19,703$68,526
Dep. & Amort.$57,031$53,057$47,697$47,062
Deferred Tax$0$0-$182,525$0
Stock-Based Comp.$2,313$603$45,361$0
Change in WC-$59,855-$23,680-$37,938-$550
Other Non-Cash$93,590$28,074$215,707$5,446
Operating Cash Flow$186,846$139,127$69,214$92,386
Investing Activities
PP&E Inv.-$110,975-$227,183-$238,691-$182,077
Net Acquisitions-$16,565$4,515-$12,295$18,352
Inv. Purchases-$454-$4,214-$3,569-$515
Inv. Sales/Matur.$227$0$0$860
Other Inv. Act.$47,546$18,185$99,147$2,396
Investing Cash Flow-$80,221-$208,696-$155,409-$160,984
Financing Activities
Debt Repay.$16,441$46,695$129,991$194,998
Stock Issued$0$0$0$39
Stock Repurch.$0$0-$6,609-$2,709
Dividends Paid-$45,130-$45,858-$40,544-$41,624
Other Fin. Act.-$85,499-$75,944-$42,267-$5,462
Financing Cash Flow-$114,188-$75,107$40,571$145,203
Forex Effect$647$807$1,324$1,799
Net Chg. in Cash-$6,916-$143,869-$5,513$106,502
Supplemental Information
Beg. Cash$248,027$391,896$486,458$371,383
End Cash$241,111$248,027$457,488$461,692
Free Cash Flow$75,871-$66,703-$169,477-$89,691