Corporación Acciona Energías Renovables, S.A (ANE.MC) Cash on Hand

Price: $17.97
Market Cap: $5.82B
Avg Volume: 332.01K
Country: ES
Industry: Renewable Utilities
Sector: Utilities
Beta: 0.545
52W Range: $17.07-22.82
Website: Corporación Acciona Energías Renovables, S.A
How much cash does Corporación Acciona Energías Renovables, S.A have?

According to Corporación Acciona Energías Renovables, S.A's latest annual financial reports, the company has a total of $495.00M in cash and cash equivalents. This amount includes all liquid assets that can be readily converted into cash.

Additionally, Corporación Acciona Energías Renovables, S.A holds $124.00M in short-term investments, which are highly liquid assets that can be easily converted into cash within a short period.

In total, the company has $619.00M when combining cash and cash equivalents with short-term investments.

On a per-share basis, Corporación Acciona Energías Renovables, S.A has $1.91 in cash. This metric helps investors understand how much cash the company holds per outstanding share.

The company's free cash flow, which is the cash generated from operations after deducting capital expenditures, stands at $-949.00M. This is an important indicator of financial health, showing the cash available for distribution to shareholders or reinvestment into the company.

Lastly, the company's cash position has experienced a growth rate of -32.74%, reflecting the increase in cash and cash equivalents over the specified period.

Cash & Cash Equivalents

$495.00M

Short-Term Investments

$124.00M

Cash & Short-Term Investments

$619.00M

Cash Per Share

$1.91

Free Cash Flow

$-949.00M

Cash Growth

-32.74%

Corporación Acciona Energías Renovables, S.A Historical Cash on Hand
$800.00M$800.00M$700.00M$700.00M$600.00M$600.00M$500.00M$500.00M$400.00M$400.00M$300.00M$300.00M$200.00M$200.00M$100.00M$100.00MCash on Hand201920192020202020212021202220222023202320242024
Cash on Hand History

The table below shows the amount of cash on hand for each year, with the latest data available for the last fiscal year 2024.

Year Cash on Hand Change
2024 $495.00M -32.74%
2023 $736.00M 20.26%
2022 $612.00M -2.12%
2021 $625.24M 33.68%
2020 $467.70M 58.01%
2019 $296.00M 41.56%
2018 $209.10M N/A

Related Metrics

Explore detailed financial metrics and analysis for ANE.MC.