2021 annual financial data
Companhia de saneamento Basico Do Estado De Sao Paulo 2021 Operating cash flow
Direct answer
Operating cash flow was 3,913,753,000 BRL.
Operating income was 4,097,579,000 BRL and net income was 2,305,869,000 BRL.
Operating cash flow was 3,913,753,000 BRL.
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Verified data
- Revenue
- 19,491,061,000 BRL
- Operating income
- 4,097,579,000 BRL
- Net income
- 2,305,869,000 BRL
- Operating cash flow
- 3,913,753,000 BRL
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