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Grupo Supervielle S.A. (SUPV) Cash from financing

annual CFF:

$40.01M+$124.38M(+147.42%)
December 31, 2024

Summary

  • As of today (September 3, 2025), SUPV annual cash flow from financing activities is $40.01 million, with the most recent change of +$124.38 million (+147.42%) on December 31, 2024.
  • During the last 3 years, SUPV annual CFF has risen by +$844.13 million (+104.98%).
  • SUPV annual CFF is now -97.67% below its all-time high of $1.71 billion, reached on December 31, 2017.

Performance

SUPV Cash from financing Chart

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quarterly CFF:

$168.22M-$118.47M(-41.32%)
June 1, 2025

Summary

  • As of today (September 3, 2025), SUPV quarterly cash flow from financing activities is $168.22 million, with the most recent change of -$118.47 million (-41.32%) on June 1, 2025.
  • Over the past year, SUPV quarterly CFF has increased by +$543.79 million (+144.79%).
  • SUPV quarterly CFF is now -83.71% below its all-time high of $1.03 billion, reached on June 30, 2018.

Performance

SUPV quarterly CFF Chart

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TTM CFF:

$695.59M+$543.79M(+358.21%)
June 1, 2025

Summary

  • As of today (September 3, 2025), SUPV TTM cash flow from financing activities is $695.59 million, with the most recent change of +$543.79 million (+358.21%) on June 1, 2025.
  • Over the past year, SUPV TTM CFF has increased by +$4.56 billion (+118.00%).
  • SUPV TTM CFF is now -73.60% below its all-time high of $2.63 billion, reached on September 30, 2018.

Performance

SUPV TTM CFF Chart

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Cash from financing Formula

CFF = Cash Inflows from Financing Activities − Cash Outflows from Financing Activities

SUPV Cash from financing Trends

PeriodPeriodAnnualAnnualQuarterlyQuarterlyTTMTTM
1 y1 year+147.4%+144.8%+118.0%
3 y3 years+105.0%+422.4%+194.9%
5 y5 years+106.1%-11.9%+391.5%

SUPV Cash from financing Highs & Lows

PeriodPeriodAnnual vs highAnnual vs highAnnual vs lowAnnual vs lowQuarter. vs highQuarter. vs highQuarter. vs lowQuarter. vs lowTTM vs highTTM vs highTTM vs lowTTM vs low
3 y3-yearat high+105.0%-41.3%+112.0%at high+118.0%
5 y5-yearat high+105.0%-41.3%+112.0%at high+118.0%
alltimeall time-97.7%+105.0%-83.7%+112.0%-73.6%+118.0%

SUPV Cash from financing History

DateAnnualQuarterlyTTM
Jun 2025
-
$168.22M(-41.3%)
$695.59M(+358.2%)
Mar 2025
-
$286.68M(+284.4%)
$151.81M(-113.3%)
Dec 2024
$40.01M(-147.4%)
$74.59M(-55.1%)
-$1.14B(-50.2%)
Sep 2024
-
$166.10M(-144.2%)
-$2.30B(-40.6%)
Jun 2024
-
-$375.57M(-62.8%)
-$3.86B(+7.4%)
Mar 2024
-
-$1.01B(-6.4%)
-$3.60B(+5.6%)
Dec 2023
-$84.37M(-72.6%)
-$1.08B(-23.1%)
-$3.41B(+37.3%)
Sep 2023
-
-$1.40B(+1174.4%)
-$2.48B(+12.7%)
Jun 2023
-
-$110.00M(-86.6%)
-$2.20B(+2.7%)
Mar 2023
-
-$819.61M(+442.0%)
-$2.15B(+45.6%)
Dec 2022
-$308.47M(-61.6%)
-$151.21M(-86.5%)
-$1.47B(-15.6%)
Sep 2022
-
-$1.12B(+2051.2%)
-$1.75B(+138.2%)
Jun 2022
-
-$52.18M(-64.7%)
-$733.03M(+1.2%)
Mar 2022
-
-$147.72M(-65.1%)
-$724.37M(+27.2%)
Dec 2021
-$804.12M(+34.4%)
-$423.83M(+287.8%)
-$569.63M(+31.6%)
Sep 2021
-
-$109.30M(+151.1%)
-$432.82M(-11.7%)
Jun 2021
-
-$43.52M(-721.0%)
-$490.43M(+91.7%)
Mar 2021
-
$7.01M(-102.4%)
-$255.87M(-226.2%)
Dec 2020
-$598.47M(-8.2%)
-$287.01M(+72.0%)
$202.72M(-382.4%)
Sep 2020
-
-$166.91M(-187.4%)
-$71.79M(-69.9%)
Jun 2020
-
$191.04M(-59.0%)
-$238.60M(-16.6%)
Mar 2020
-
$465.60M(-182.9%)
-$286.01M(-65.9%)
Dec 2019
-$652.09M(+819.9%)
-$561.52M(+68.3%)
-$837.59M(+12.3%)
Sep 2019
-
-$333.72M(-332.3%)
-$746.17M(-275.6%)
Jun 2019
-
$143.63M(-267.1%)
$424.81M(-67.7%)
Mar 2019
-
-$85.97M(-81.7%)
$1.31B(-16.4%)
DateAnnualQuarterlyTTM
Dec 2018
-$70.89M(-104.1%)
-$470.10M(-156.1%)
$1.57B(-40.4%)
Sep 2018
-
$837.25M(-18.9%)
$2.63B(+8.6%)
Jun 2018
-
$1.03B(+501.6%)
$2.43B(+43.9%)
Mar 2018
-
$171.66M(-71.1%)
$1.69B(-16.4%)
Dec 2017
$1.71B(+959.1%)
$593.26M(-5.6%)
$2.02B(+35.3%)
Sep 2017
-
$628.51M(+114.7%)
$1.49B(+96.8%)
Jun 2017
-
$292.72M(-41.7%)
$756.84M(+9.7%)
Mar 2017
-
$501.94M(+653.3%)
$690.01M(+327.1%)
Dec 2016
$161.83M(+71.0%)
$66.63M(-163.8%)
$161.55M(+12.7%)
Sep 2016
-
-$104.45M(-146.2%)
$143.29M(-45.2%)
Jun 2016
-
$225.89M(-951.9%)
$261.61M(+337.0%)
Mar 2016
-
-$26.52M(-154.8%)
$59.86M(-36.3%)
Dec 2015
$94.65M(-329.2%)
$48.37M(+248.8%)
$94.03M(-655.6%)
Sep 2015
-
$13.87M(-42.6%)
-$16.92M(+98.2%)
Jun 2015
-
$24.14M(+215.7%)
-$8.54M(-81.5%)
Mar 2015
-
$7.65M(-112.2%)
-$46.13M(+12.2%)
Dec 2014
-$41.30M(-264.8%)
-$62.58M(-381.2%)
-$41.13M(-460.1%)
Sep 2014
-
$22.25M(-265.4%)
$11.42M(-176.1%)
Jun 2014
-
-$13.45M(-206.3%)
-$15.00M(-154.0%)
Mar 2014
-
$12.65M(-226.2%)
$27.79M(+11.5%)
Dec 2013
$25.06M(-145.5%)
-
-
Dec 2013
-
-$10.03M(+140.5%)
$24.94M(-28.7%)
Sep 2013
-
-$4.17M(-114.2%)
$34.97M(-10.7%)
Jun 2013
-
$29.34M(+199.5%)
$39.14M(+299.5%)
Mar 2013
-
$9.80M
$9.80M
Dec 2012
-$55.11M
-
-

FAQ

  • What is Grupo Supervielle S.A. annual cash flow from financing activities?
  • What is the all time high annual CFF for Grupo Supervielle S.A.?
  • What is Grupo Supervielle S.A. annual CFF year-on-year change?
  • What is Grupo Supervielle S.A. quarterly cash flow from financing activities?
  • What is the all time high quarterly CFF for Grupo Supervielle S.A.?
  • What is Grupo Supervielle S.A. quarterly CFF year-on-year change?
  • What is Grupo Supervielle S.A. TTM cash flow from financing activities?
  • What is the all time high TTM CFF for Grupo Supervielle S.A.?
  • What is Grupo Supervielle S.A. TTM CFF year-on-year change?

What is Grupo Supervielle S.A. annual cash flow from financing activities?

The current annual CFF of SUPV is $40.01M

What is the all time high annual CFF for Grupo Supervielle S.A.?

Grupo Supervielle S.A. all-time high annual cash flow from financing activities is $1.71B

What is Grupo Supervielle S.A. annual CFF year-on-year change?

Over the past year, SUPV annual cash flow from financing activities has changed by +$124.38M (+147.42%)

What is Grupo Supervielle S.A. quarterly cash flow from financing activities?

The current quarterly CFF of SUPV is $168.22M

What is the all time high quarterly CFF for Grupo Supervielle S.A.?

Grupo Supervielle S.A. all-time high quarterly cash flow from financing activities is $1.03B

What is Grupo Supervielle S.A. quarterly CFF year-on-year change?

Over the past year, SUPV quarterly cash flow from financing activities has changed by +$543.79M (+144.79%)

What is Grupo Supervielle S.A. TTM cash flow from financing activities?

The current TTM CFF of SUPV is $695.59M

What is the all time high TTM CFF for Grupo Supervielle S.A.?

Grupo Supervielle S.A. all-time high TTM cash flow from financing activities is $2.63B

What is Grupo Supervielle S.A. TTM CFF year-on-year change?

Over the past year, SUPV TTM cash flow from financing activities has changed by +$4.56B (+118.00%)
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