Engie Brasil Energia SA
BOVESPA:EGIE3

Watchlist Manager
Engie Brasil Energia SA Logo
Engie Brasil Energia SA
BOVESPA:EGIE3
Watchlist
Price: 38.75 BRL -1.72% Market Closed
Market Cap: 31.6B BRL
Have any thoughts about
Engie Brasil Energia SA?
Write Note

Cash Flow Statement

Cash Flow Statement
Engie Brasil Energia SA

Rotate your device to view
Cash Flow Statement
Currency: BRL
Sep-2014 Dec-2014 Mar-2015 Jun-2015 Sep-2015 Dec-2015 Mar-2016 Jun-2016 Sep-2016 Dec-2016 Mar-2017 Jun-2017 Sep-2017 Dec-2017 Mar-2018 Jun-2018 Sep-2018 Dec-2018 Mar-2019 Jun-2019 Sep-2019 Dec-2019 Mar-2020 Jun-2020 Sep-2020 Dec-2020 Mar-2021 Jun-2021 Sep-2021 Dec-2021 Mar-2022 Jun-2022 Sep-2022 Dec-2022 Mar-2023 Jun-2023 Sep-2023 Dec-2023 Mar-2024 Jun-2024 Sep-2024
Operating Cash Flow
Net Income
1 632
1 957
2 039
2 224
1 941
2 033
2 035
2 207
2 278
2 067
2 219
2 424
2 337
2 623
2 679
2 851
3 009
2 968
3 052
2 756
3 162
3 088
2 990
3 462
3 012
3 687
3 658
3 003
3 232
1 819
1 962
2 061
2 155
3 285
3 585
4 095
4 311
4 397
5 675
5 868
5 614
Depreciation & Amortization
591
592
591
591
599
600
608
616
622
630
626
635
641
649
668
659
655
660
682
729
794
863
908
937
934
915
910
915
932
1 042
1 061
1 083
1 096
990
967
939
918
924
943
977
1 017
Other Non-Cash Items
608
439
547
656
733
765
713
728
702
799
720
374
281
53
44
347
413
435
502
612
666
817
873
598
847
1 065
1 569
2 271
1 694
974
782
764
991
450
145
(562)
(793)
(9)
(1 269)
(1 124)
(953)
Cash Taxes Paid
561
666
466
526
546
477
317
407
439
458
490
389
336
315
372
388
456
531
496
484
475
489
492
453
415
290
346
375
383
397
399
480
443
488
466
413
412
361
842
825
954
Cash Interest Paid
256
255
275
287
315
347
349
338
326
0
280
257
266
0
251
346
350
0
471
487
573
580
615
610
0
605
827
850
0
0
0
0
0
0
0
0
0
0
0
0
0
Change in Working Capital
(1 419)
(1 311)
(1 412)
(1 264)
(472)
(820)
(545)
(913)
(1 121)
(971)
(990)
(474)
(564)
(2 994)
(3 092)
(3 320)
(3 243)
(916)
(839)
(925)
(1 317)
(1 147)
(1 187)
(1 669)
(2 287)
(4 325)
(5 097)
(5 153)
(4 779)
(1 865)
(1 597)
(1 467)
(1 211)
(1 388)
(926)
(249)
(91)
(727)
(1 146)
(1 393)
(1 151)
Cash from Operating Activities
1 411
N/A
1 677
+19%
1 766
+5%
2 208
+25%
2 801
+27%
2 579
-8%
2 811
+9%
2 640
-6%
2 482
-6%
2 525
+2%
2 575
+2%
2 959
+15%
2 694
-9%
332
-88%
300
-10%
537
+79%
834
+55%
3 147
+277%
3 397
+8%
3 171
-7%
3 306
+4%
3 621
+10%
3 584
-1%
3 327
-7%
2 506
-25%
1 342
-46%
1 040
-23%
1 037
0%
1 079
+4%
1 971
+83%
2 207
+12%
2 442
+11%
3 032
+24%
3 337
+10%
3 771
+13%
4 224
+12%
4 345
+3%
4 586
+6%
4 204
-8%
4 328
+3%
4 527
+5%
Investing Cash Flow
Capital Expenditures
(367)
(353)
(467)
(528)
(699)
(753)
(753)
(816)
(904)
(1 176)
(1 355)
(1 683)
(1 820)
(2 956)
(3 045)
(3 274)
(3 898)
(3 306)
(3 504)
(2 978)
(1 974)
(1 166)
(789)
(711)
(696)
(1 020)
(1 004)
(1 116)
(1 260)
(1 241)
(1 062)
(1 159)
(1 427)
(1 579)
(1 863)
(2 036)
(2 233)
(2 576)
(3 373)
(4 841)
(5 957)
Other Items
(216)
(235)
(83)
(37)
(36)
(26)
(34)
(22)
(30)
(97)
(92)
(103)
(117)
147
150
220
225
93
93
(3 430)
(3 342)
(3 064)
(3 381)
399
(0)
23
372
444
625
659
172
18
159
(206)
213
19
(53)
534
1 385
1 349
1 512
Cash from Investing Activities
(582)
N/A
(588)
-1%
(551)
+6%
(565)
-3%
(736)
-30%
(779)
-6%
(787)
-1%
(838)
-6%
(934)
-11%
(1 272)
-36%
(1 447)
-14%
(1 786)
-23%
(1 938)
-8%
(2 809)
-45%
(2 894)
-3%
(3 055)
-6%
(3 673)
-20%
(3 213)
+13%
(3 411)
-6%
(6 409)
-88%
(5 316)
+17%
(4 230)
+20%
(4 170)
+1%
(311)
+93%
(697)
-124%
(997)
-43%
(632)
+37%
(672)
-6%
(635)
+6%
(582)
+8%
(890)
-53%
(1 141)
-28%
(1 269)
-11%
(1 784)
-41%
(1 650)
+8%
(2 017)
-22%
(2 285)
-13%
(2 042)
+11%
(1 988)
+3%
(3 491)
-76%
(4 444)
-27%
Financing Cash Flow
Net Issuance of Common Stock
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
477
477
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Net Issuance of Debt
(359)
438
394
590
547
(276)
(561)
(572)
197
(588)
(158)
(201)
(703)
3 542
3 332
4 148
5 825
2 593
2 500
5 458
3 693
4 540
5 706
2 156
2 920
1 194
985
1 142
804
2 480
1 605
404
(129)
(2 701)
(2 734)
(1 616)
(1 685)
1 953
1 549
1 019
2 793
Cash Paid for Dividends
(703)
(1 081)
(1 060)
(1 231)
(1 081)
(704)
(795)
(833)
(524)
(1 164)
(1 282)
(1 481)
(1 481)
(839)
(1 765)
(1 990)
(1 990)
(1 990)
(2 169)
(1 535)
(2 261)
(2 261)
(1 666)
(1 937)
(1 241)
(1 241)
(1 551)
(1 432)
(2 008)
(2 793)
(2 237)
(2 086)
(2 027)
(2 286)
(1 592)
(1 590)
(2 661)
(2 380)
0
0
(1 896)
Other
(82)
(65)
(63)
(76)
(40)
(28)
(23)
(36)
(78)
(82)
(100)
(90)
(97)
(112)
(108)
(99)
(116)
(51)
(84)
(90)
(146)
(216)
(217)
(77)
12
(106)
(192)
(277)
(297)
(458)
(413)
(379)
(482)
514
559
1 440
1 606
903
935
(18)
(15)
Cash from Financing Activities
(1 144)
N/A
(708)
+38%
(730)
-3%
(717)
+2%
(574)
+20%
(1 008)
-76%
(1 379)
-37%
(1 441)
-5%
(405)
+72%
(1 834)
-353%
(1 541)
+16%
(1 772)
-15%
(2 281)
-29%
2 592
N/A
1 460
-44%
2 059
+41%
3 720
+81%
552
-85%
247
-55%
3 833
+1 450%
1 287
-66%
2 063
+60%
3 824
+85%
141
-96%
2 168
+1 434%
323
-85%
(282)
N/A
(90)
+68%
(1 501)
-1 565%
(771)
+49%
(1 044)
-35%
(2 061)
-97%
(2 638)
-28%
(4 474)
-70%
(3 767)
+16%
(1 767)
+53%
(2 740)
-55%
476
N/A
104
-78%
(1 379)
N/A
882
N/A
Change in Cash
Net Change in Cash
(315)
N/A
380
N/A
485
+28%
927
+91%
1 492
+61%
792
-47%
646
-19%
360
-44%
1 144
+217%
(582)
N/A
(412)
+29%
(599)
-45%
(1 524)
-154%
115
N/A
(1 135)
N/A
(459)
+60%
881
N/A
486
-45%
234
-52%
596
+155%
(723)
N/A
1 454
N/A
3 238
+123%
3 157
-2%
3 977
+26%
669
-83%
126
-81%
275
+118%
(1 057)
N/A
617
N/A
274
-56%
(761)
N/A
(875)
-15%
(2 921)
-234%
(1 646)
+44%
440
N/A
(680)
N/A
3 020
N/A
2 320
-23%
(543)
N/A
964
N/A
Free Cash Flow
Free Cash Flow
1 044
N/A
1 324
+27%
1 298
-2%
1 680
+29%
2 102
+25%
1 826
-13%
2 058
+13%
1 824
-11%
1 578
-13%
1 349
-14%
1 221
-10%
1 275
+4%
874
-31%
(2 625)
N/A
(2 745)
-5%
(2 738)
+0%
(3 064)
-12%
(159)
+95%
(107)
+33%
193
N/A
1 332
+590%
2 455
+84%
2 795
+14%
2 616
-6%
1 810
-31%
322
-82%
35
-89%
(80)
N/A
(181)
-127%
730
N/A
1 145
+57%
1 282
+12%
1 604
+25%
1 759
+10%
1 907
+8%
2 188
+15%
2 113
-3%
2 010
-5%
831
-59%
(513)
N/A
(1 430)
-179%

See Also

Discover More