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Grupo Supervielle S.A. ADR (SUPV)

Grupo Supervielle S.A. ADR (SUPV)
[[ item.lastPrice ]] [[ item.priceChange ]] ([[ item.percentChange ]]) [[ item.tradeTime ]] [NYSE]
[[ item.bidPrice ]] x [[ item.bidSize ]] [[ item.askPrice ]] x [[ item.askSize ]]
[[ session ]] by (Cboe BZX)
[[ item.lastPrice ]] [[ item.priceChange ]] ([[ item.percentChange ]]) [[ item.tradeTime ]] [NYSE]
[[ item.bidPrice ]] x [[ item.bidSize ]] [[ item.askPrice ]] x [[ item.askSize ]]
[[ session ]] [[ item.lastPriceExt ]] [[ item.priceChangeExt ]] ([[ item.percentChangeExt ]]) [[ item.tradeTimeExt ]]
Cash Flow for [[ item.sessionDateDisplayLong ]]

Fiscal Year End Date: 12/31

(Values in U.S. thousands)
  12-2022 12-2021 12-2020 12-2019 12-2018
Cash Flows From Operating Activities
Net Income -38,765 -18,232 49,711 -44,580 -108,511
Depreciation Amortization 77,759 44,364 34,180 37,564 15,350
Other Working Capital 579,956 471,979 658,636 -198,459 468,936
Loans 2,369,788 1,048,179 1,398,113 -379,684 167,894
Other Operating Activity -2,975,970 -1,457,206 -1,821,261 535,329 -402,167
Operating Cash Flow $12,769 $89,084 $319,380 $-49,831 $141,501
Cash Flows From Investing Activities
PPE Investments -58,264 -48,363 -61,034 -22,891 -37,288
Purchase Of Investment 94 -931 -779 -4,098 -72,645
Investing Cash Flow $-58,170 $-49,294 $-61,813 $-26,989 $-109,932
Cash Flows From Financing Activities
Change In Short Term Borrowing 1,293,077 -79,514 -96,357 -2,357,852 2,527,612
Debt Issued -11,565 5,572 223,692 156,685 147,905
Debt Repayment N/A -366,786 -302,428 -359,468 -268,145
Common Stock Issued N/A N/A N/A -25,908 N/A
Common Stock Repurchased -10,651 N/A N/A N/A N/A
Dividend Paid -3,787 -5,405 -7,527 -9,649 -11,657
Other Financing Activity -1,363,882 314,203 -19,400 2,288,793 -2,427,267
Financing Cash Flow $-96,808 $-131,930 $-202,019 $-307,398 $-31,552
Exchange Rate Effect 24,002 116,014 147,331 -533,386 544,675
Beginning Cash Position 670,886 625,500 540,067 1,495,889 1,122,976
End Cash Position 418,886 469,649 560,425 578,285 1,667,668
Net Cash Flow $-251,999 $-155,851 $20,358 $-917,604 $544,692
Free Cash Flow
Operating Cash Flow 12,769 89,084 319,380 -49,831 141,501
Capital Expenditure -64,385 -52,742 -67,082 -23,057 -44,863
Free Cash Flow -51,616 36,342 252,298 -72,888 96,638
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