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Tenaris SA (TNRSF) Reserve Of Cash Flow Hedges Continuing Hedges

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Tenaris SA Reserve Of Cash Flow Hedges Continuing Hedges

Tenaris SA (TNRSF) had Reserve Of Cash Flow Hedges Continuing Hedges of $8.10 million as of 2023-12-31, per its 20-F filed 2025-04-01.

Financial Statements › Notes › Derivative Instruments and Hedging Activities

ifrs-full:ReserveOfCashFlowHedgesContinuingHedges · last filed 2025-04-01

  • 2023-12-31: Reserve Of Cash Flow Hedges Continuing Hedges $8.10M.
  • 2022-12-31: Reserve Of Cash Flow Hedges Continuing Hedges $13.10M.
  • 2021-12-31: Reserve Of Cash Flow Hedges Continuing Hedges $1.30M.
  • 2020-12-31: Reserve Of Cash Flow Hedges Continuing Hedges $4.80M; Reserve Of Cash Flow Hedges Continuing Hedges as first filed -$4.80M.
Period endReserve Of Cash Flow Hedges Continuing HedgesReserve Of Cash Flow Hedges Continuing Hedges as first filed
2023-12-31$8.10M
20-F · filed 2025-04-01
2022-12-31$13.10M
20-F · filed 2024-03-28
2021-12-31$1.30M
20-F · filed 2023-03-31
2020-12-31$4.80M
20-F · filed 2022-03-31
-$4.80M
20-F · filed 2021-03-30
2019-12-31$2.60M
20-F · filed 2021-03-30
2018-12-31-$900.00K
20-F · filed 2020-04-30
2017-12-31-$200.00K
20-F · filed 2019-04-03
$200.00K
20-F · filed 2018-04-30
2016-12-31-$4.70M
20-F · filed 2018-04-30