OTC:REEUF | Cash Flow Statement | Cartesian Growth Corp II

Complete source-backed cash-flow history.

Available history
2022-03-31 to 2026-06-30
Data captured

Historical Cash Flow Statement

DateNet incomeDepreciation and amortizationOperating cash flowCapital expenditureInvesting cash flowShare repurchasesDividends paidFinancing cash flow
2026-06-30-$699,615.00
2026-03-31$3.09M-$57,566.00
2025-12-31-$2.26M-$331,270.00$50.97M-$50.52M
2025-09-30$338,160.00
2025-06-30-$152,231.00
2025-03-31$559,864.00-$155,448.00-$450,000.00$450,000.00
2024-12-31$653,834.00-$463,064.00$99.16M-$98.66M
2024-09-30$2.91M
2024-06-30$2.11M
2024-03-31$2.53M-$180,214.00-$450,000.00$700,000.00
2023-12-31$2.14M-$476,049.00-$76.64M
2023-09-30$1.87M
2023-06-30$3.72M
2023-03-31$3.71M-$121,886.00$0.00
2022-12-31-$569,148.00-$111,884.00$0.00-$5,000.00
2022-09-30$5.88M
2022-06-30-$385,392.00
2022-03-31$0.00

Annual Cash Flow Statement

DateNet incomeDepreciation and amortizationOperating cash flowCapital expenditureInvesting cash flowShare repurchasesDividends paidFinancing cash flow
2025-12-31-$1.51M-$773,847.00$49.12M$51.22M-$48.42M
2024-12-31$8.21M-$814,232.00$97.81M$99.61M-$96.81M
2023-12-31$11.44M-$922,735.00$77.14M$77.44M-$76.71M
2022-12-31$4.93M-$842,878.00-$236.9M$238.29M

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