Companhia Energética de Minas Gerais - CEMIG company logo
Companhia Energética de Minas Gerais - CEMIG logo

CIG.C Free Cash Flow

Annual FCF

$849.05M$228.21M-21.18%

Summary

Current Value
As of today, CIG.C annual free cash flow is $849.05M, down -21.18% on
Historical Performance
CIG.C annual free cash flow is up +32.80% over the past 3 years, and up +223.63% over the past 5 years
All-Time High Comparison
CIG.C annual free cash flow is currently -48.08% below its historical high of $1.64B set on
3-Year Low Comparison
CIG.C annual free cash flow is at its 3-year low
Sector Comparison
CIG.C annual free cash flow is higher than 94.69% of companies in Utilities sector

Free Cash Flow Chart

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Series
SUGGESTED SERIES

Performance

CIG.C Performance
MetricDateValue1Y3Y5Y15Y
Annual Free Cash Flow$849.05M-21.2%+32.8%+223.6%+549.8%
Quarterly Free Cash Flow$131.63M-50.2%-71.4%-74.1%-70.4%
TTM Free Cash Flow$580.03M-45.1%-48.5%-66.2%+180.9%
Price$2.63+12.0%+8.2%+51.5%-23.3%
Annual Cash From Operations$1.02B-23.4%+49.4%+97.5%-20.8%
Annual CAPEX$170.61M-32.6%+294.5%-32.8%-85.3%
Annual Dividends Paid$796.61M+118.3%+203.5%+348.2%+69.7%
Annual Net Income$1.32B+14.4%+89.9%+75.4%+19.5%
Annual Revenue$7.39B+0.1%+18.5%+14.3%+20.9%

Free Cash Flow Highs

CIG.C Annual Free Cash Flow Highs Comparison
PeriodHighDateCurrent
3Y$1.22BN/A-30.6%
5Y$1.64BN/A-48.1%
All$1.64B-48.1%

Free Cash Flow Lows

CIG.C Annual Free Cash Flow Lows Comparison
PeriodLowDateCurrent
3Y$849.05Mat low
5Y$639.34M+32.8%
All-$1.98B+143.0%

Free Cash Flow History

YearValueChange
$849.05M-21.2%
$1.08B-12.0%
$1.22B+91.4%
$639.34M-60.9%
$1.64B+523.3%
$262.35M+6.5%
$246.42M+246.4%
-$168.34M-907.4%
$20.85M-96.4%
$576.21M-51.8%
$1.20B+1.7%
$1.18B+117.8%
$539.77M-19.5%
$670.19M+61.4%
$415.29M+217.8%
$130.66M-85.9%
$929.01M-0.4%
$932.30M+222.4%
$289.18M+139.4%
YearValueChange
$120.81M-45.7%
$222.31M+417.2%
-$70.09M-144.7%
-$28.65M-130.4%
$94.16M-70.3%
$317.15M+63.8%
$193.66M-48.3%
$374.63M+396.5%
$75.46M+246.6%
-$51.47M-92.9%
-$26.68M+93.3%
-$400.34M+79.7%
-$1.98B-2,132.6%
-$88.47M+55.8%
-$200.23M-1,873.8%
$11.29M-99.0%
$1.19B>+9,900.0%
$6.57M-85.0%
$43.84M-

FAQ

  • What is the current annual free cash flow of CIG.C?

    As of today, CIG.C annual free cash flow is $849.05M

  • What is 1-year change in CIG.C annual free cash flow?

    CIG.C annual free cash flow is down -21.18% year-over-year

  • What is 3-year change in CIG.C annual free cash flow?

    CIG.C annual free cash flow is up +32.80% over the past 3 years

  • How far is CIG.C annual free cash flow from its all-time high?

    CIG.C annual free cash flow is currently -48.08% below its historical high of $1.64B set on December 1, 2020

  • How does CIG.C annual free cash flow rank versus sector peers?

    CIG.C annual free cash flow is higher than 94.69% of companies in Utilities sector

  • When is CIG.C next annual earnings release?

    As of today, the next annual earnings release for CIG.C has not been scheduled

Free Cash Flow Formula

FCF =

Data Sources & References

  1. CIG.C Official Website www.cemig.com.br
  2. Most Recent Annual Report (10-K) www.sec.gov/Archives/edgar/data/1157557/000155485525000408/0001554855-25-000408-index.htm
  3. CIG.C Profile on Yahoo Finance finance.yahoo.com/quote/CIG-C
  4. CIG.C Profile on NASDAQ.com www.nasdaq.com/market-activity/stocks/cig.c