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YPF YPF SA

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  • 29.800
  • -1.330-4.27%
Close Apr 30 16:00 ET
  • 29.800
  • 0.0000.00%
Post 20:01 ET
11.72BMarket Cap4.97P/E (TTM)

YPF SA Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-0.74%5.87B
-271.19%-3.91T
279,468.12%3.91T
8.63%1.42B
-27.25%1.09B
3.86%5.91B
-79,197.15%-1.05T
-11.57%1.4B
4.09%1.31B
8.76%1.5B
Net income from continuing operations
287.39%2.39B
-2,903.06%-2.42T
1,769,427.01%2.42T
40.79%535M
92.67%657M
-157.16%-1.28B
-17,487.28%-80.68B
-119.77%-137M
-49.48%380M
43.15%341M
Operating gains losses
330.77%930M
-931.40%-468.59B
732,903.13%469.12B
502.04%197M
745.83%203M
-179.86%-403M
100,746.43%56.36B
320.69%64M
-64.40%-49M
212.73%24M
Depreciation and amortization
-15.70%2.76B
-181.49%-1.74T
201,926.85%1.75T
-25.29%638M
-15.87%652M
16.56%3.27B
-83,377.42%-619.58B
19.34%864M
30.31%854M
23.87%775M
Deferred tax
-218.82%-1.21B
3,445.19%927.89B
---928.9B
-205.33%-79M
-242.35%-121M
24.09%1.02B
-17,880.77%-27.74B
--0
-56.48%75M
-56.49%85M
Other non cash items
---5M
----
----
----
----
----
----
----
----
----
Change In working capital
-95.58%14M
643.82%389.08B
-3,236,600.00%-388.4B
-62.60%-200M
-1,542.86%-460M
351.59%317M
-26,211.68%-71.55B
95.42%-12M
68.66%-123M
-110.36%-28M
-Change in receivables
-272.55%-1.37B
2,111.67%1.19T
---1.19T
-45.87%-512M
-431.82%-584M
23.97%-368M
--53.62B
----
---351M
369.39%176M
-Change in inventory
188.64%127M
1,217.96%40.35B
---40.35B
104.00%1M
199.21%125M
118.97%44M
---3.61B
----
---25M
-4,802.68%-126M
-Change in payables and accrued expense
7.78%1.12B
-373.00%-971.63B
--972.32B
65.50%331M
363.16%100M
31.44%1.04B
---205.42B
----
--200M
-131.35%-38M
-Change in other current liabilities
231.82%219M
382.09%39.12B
---38.85B
-97.14%1M
-444.44%-49M
571.43%66M
---13.87B
----
--35M
50.69%-9M
-Change in other working capital
82.19%-83M
-2.47%95.32B
---95.33B
-216.67%-21M
-67.74%-52M
-147.87%-466M
--97.73B
----
--18M
-123.43%-31M
Cash from discontinued investing activities
Operating cash flow
-0.74%5.87B
-271.19%-3.91T
279,468.12%3.91T
8.63%1.42B
-27.25%1.09B
3.86%5.91B
-79,197.15%-1.05T
-11.57%1.4B
4.09%1.31B
8.76%1.5B
Investing cash flow
Cash flow from continuing investing activities
-3.36%-5.51B
315.36%3.82T
-289,498.26%-3.83T
-16.28%-1.46B
-1.60%-1.21B
-32.77%-5.33B
81,547.35%920.36B
-31.31%-1.32B
-30.80%-1.26B
-47.65%-1.19B
Net PPE purchase and sale
4.95%-5.39B
269.96%3.74T
-249,587.27%-3.75T
0.88%-1.35B
6.42%-1.18B
-41.61%-5.67B
77,084.63%1.01T
-40.58%-1.5B
-76.80%-1.37B
-67.34%-1.26B
Net business purchase and sale
--0
--0
--0
--0
--0
-150.00%-5M
58,550.00%1.17B
--0
---2M
---2M
Net investment purchase and sale
-110.57%-26M
109.48%6.69B
-4,445.10%-6.65B
-128.21%-22M
-200.00%-46M
353.61%246M
-49,437.06%-70.55B
363.64%153M
137.52%78M
185.94%46M
Net other investing changes
-946.67%-127M
3,133.37%102.44B
---102.46B
-1,130.00%-103M
0.00%2M
250.00%15M
---3.38B
----
489.83%10M
25.30%2M
Cash from discontinued investing activities
Investing cash flow
-3.36%-5.51B
315.36%3.82T
-289,498.26%-3.83T
-16.28%-1.46B
-1.60%-1.21B
-32.77%-5.33B
81,547.35%920.36B
-31.31%-1.32B
-30.80%-1.26B
-47.65%-1.19B
Financing cash flow
Cash flow from continuing financing activities
-205.40%-293M
363.05%290.46B
-184,190.51%-290.86B
-196.26%-206M
1,735.29%312M
122.66%278M
-71,140.65%-110.42B
147.16%158M
159.89%214M
104.78%17M
Net issuance payments of debt
-54.13%417M
-5.56%-248.61B
70,522.44%248.59B
-122.50%-81M
190.96%515M
240.28%909M
-436,046.30%-235.52B
330.07%352M
252.59%360M
193.98%177M
Net common stock issuance
--0
----
----
----
----
--0
----
--0
----
----
Cash dividends paid
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Cash from discontinued financing activities
Financing cash flow
-205.40%-293M
363.05%290.46B
-184,190.51%-290.86B
-196.26%-206M
1,735.29%312M
122.66%278M
-71,140.65%-110.42B
147.16%158M
159.89%214M
104.78%17M
Net cash flow
Beginning cash position
45.28%1.12B
87.55%849.12B
-10.80%1.04B
29.09%1.31B
45.28%1.12B
26.51%773M
54,187.17%452.76B
74.96%1.17B
43.74%1.01B
36.76%773M
Current changes in cash
-92.43%65M
184.59%205.42B
-87,090.68%-205.3B
-193.94%-248M
-40.62%193M
90.89%859M
-528,036.96%-242.85B
-2.07%236M
523.33%264M
50.64%325M
Effect of exchange rate changes
86.25%-70M
-104.44%-148.59B
138,928.97%148.55B
81.98%-20M
91.67%-7M
-76.74%-509M
-67,825.23%-72.68B
-44.59%-107M
-549.33%-111M
-679.66%-84M
End cash Position
-0.45%1.12B
-0.45%1.12B
65,418.75%849.12B
-10.80%1.04B
29.09%1.31B
45.28%1.12B
45.28%1.12B
55.40%1.3B
74.76%1.17B
27.48%1.01B
Free cash flow
98.75%477M
-301.28%-165.35B
164,306.93%165.85B
219.30%68M
-139.15%-92M
-85.77%240M
-242,482.35%-41.21B
-119.61%-101M
-111.75%-57M
-62.23%235M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
Unqualified Opinion
--
--
--
--
--
--
--
--
--
(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -0.74%5.87B-271.19%-3.91T279,468.12%3.91T8.63%1.42B-27.25%1.09B3.86%5.91B-79,197.15%-1.05T-11.57%1.4B4.09%1.31B8.76%1.5B
Net income from continuing operations 287.39%2.39B-2,903.06%-2.42T1,769,427.01%2.42T40.79%535M92.67%657M-157.16%-1.28B-17,487.28%-80.68B-119.77%-137M-49.48%380M43.15%341M
Operating gains losses 330.77%930M-931.40%-468.59B732,903.13%469.12B502.04%197M745.83%203M-179.86%-403M100,746.43%56.36B320.69%64M-64.40%-49M212.73%24M
Depreciation and amortization -15.70%2.76B-181.49%-1.74T201,926.85%1.75T-25.29%638M-15.87%652M16.56%3.27B-83,377.42%-619.58B19.34%864M30.31%854M23.87%775M
Deferred tax -218.82%-1.21B3,445.19%927.89B---928.9B-205.33%-79M-242.35%-121M24.09%1.02B-17,880.77%-27.74B--0-56.48%75M-56.49%85M
Other non cash items ---5M------------------------------------
Change In working capital -95.58%14M643.82%389.08B-3,236,600.00%-388.4B-62.60%-200M-1,542.86%-460M351.59%317M-26,211.68%-71.55B95.42%-12M68.66%-123M-110.36%-28M
-Change in receivables -272.55%-1.37B2,111.67%1.19T---1.19T-45.87%-512M-431.82%-584M23.97%-368M--53.62B-------351M369.39%176M
-Change in inventory 188.64%127M1,217.96%40.35B---40.35B104.00%1M199.21%125M118.97%44M---3.61B-------25M-4,802.68%-126M
-Change in payables and accrued expense 7.78%1.12B-373.00%-971.63B--972.32B65.50%331M363.16%100M31.44%1.04B---205.42B------200M-131.35%-38M
-Change in other current liabilities 231.82%219M382.09%39.12B---38.85B-97.14%1M-444.44%-49M571.43%66M---13.87B------35M50.69%-9M
-Change in other working capital 82.19%-83M-2.47%95.32B---95.33B-216.67%-21M-67.74%-52M-147.87%-466M--97.73B------18M-123.43%-31M
Cash from discontinued investing activities
Operating cash flow -0.74%5.87B-271.19%-3.91T279,468.12%3.91T8.63%1.42B-27.25%1.09B3.86%5.91B-79,197.15%-1.05T-11.57%1.4B4.09%1.31B8.76%1.5B
Investing cash flow
Cash flow from continuing investing activities -3.36%-5.51B315.36%3.82T-289,498.26%-3.83T-16.28%-1.46B-1.60%-1.21B-32.77%-5.33B81,547.35%920.36B-31.31%-1.32B-30.80%-1.26B-47.65%-1.19B
Net PPE purchase and sale 4.95%-5.39B269.96%3.74T-249,587.27%-3.75T0.88%-1.35B6.42%-1.18B-41.61%-5.67B77,084.63%1.01T-40.58%-1.5B-76.80%-1.37B-67.34%-1.26B
Net business purchase and sale --0--0--0--0--0-150.00%-5M58,550.00%1.17B--0---2M---2M
Net investment purchase and sale -110.57%-26M109.48%6.69B-4,445.10%-6.65B-128.21%-22M-200.00%-46M353.61%246M-49,437.06%-70.55B363.64%153M137.52%78M185.94%46M
Net other investing changes -946.67%-127M3,133.37%102.44B---102.46B-1,130.00%-103M0.00%2M250.00%15M---3.38B----489.83%10M25.30%2M
Cash from discontinued investing activities
Investing cash flow -3.36%-5.51B315.36%3.82T-289,498.26%-3.83T-16.28%-1.46B-1.60%-1.21B-32.77%-5.33B81,547.35%920.36B-31.31%-1.32B-30.80%-1.26B-47.65%-1.19B
Financing cash flow
Cash flow from continuing financing activities -205.40%-293M363.05%290.46B-184,190.51%-290.86B-196.26%-206M1,735.29%312M122.66%278M-71,140.65%-110.42B147.16%158M159.89%214M104.78%17M
Net issuance payments of debt -54.13%417M-5.56%-248.61B70,522.44%248.59B-122.50%-81M190.96%515M240.28%909M-436,046.30%-235.52B330.07%352M252.59%360M193.98%177M
Net common stock issuance --0------------------0------0--------
Cash dividends paid --0--0--0--0--0--0--0--0--0--0
Cash from discontinued financing activities
Financing cash flow -205.40%-293M363.05%290.46B-184,190.51%-290.86B-196.26%-206M1,735.29%312M122.66%278M-71,140.65%-110.42B147.16%158M159.89%214M104.78%17M
Net cash flow
Beginning cash position 45.28%1.12B87.55%849.12B-10.80%1.04B29.09%1.31B45.28%1.12B26.51%773M54,187.17%452.76B74.96%1.17B43.74%1.01B36.76%773M
Current changes in cash -92.43%65M184.59%205.42B-87,090.68%-205.3B-193.94%-248M-40.62%193M90.89%859M-528,036.96%-242.85B-2.07%236M523.33%264M50.64%325M
Effect of exchange rate changes 86.25%-70M-104.44%-148.59B138,928.97%148.55B81.98%-20M91.67%-7M-76.74%-509M-67,825.23%-72.68B-44.59%-107M-549.33%-111M-679.66%-84M
End cash Position -0.45%1.12B-0.45%1.12B65,418.75%849.12B-10.80%1.04B29.09%1.31B45.28%1.12B45.28%1.12B55.40%1.3B74.76%1.17B27.48%1.01B
Free cash flow 98.75%477M-301.28%-165.35B164,306.93%165.85B219.30%68M-139.15%-92M-85.77%240M-242,482.35%-41.21B-119.61%-101M-111.75%-57M-62.23%235M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions Unqualified Opinion------------------

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