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Financial Statements — CAAP

Balance Sheet

(in billions USD)
MetricFY 2025FY 2024FY 2023FY 2022FY 2021FY 2020FY 2019
Cash & Equivalents0.590.440.370.390.380.280.20
Inventory0.010.010.020.02------
Total Current Assets0.990.770.750.650.630.520.51
Goodwill----------0.05--
Total Non-current Assets3.463.422.793.192.992.893.37
Total Assets4.454.183.543.843.623.413.88
Total Current Liabilities0.730.600.690.680.840.550.56
Total Non-current Liabilities2.062.062.052.302.002.052.12
Total Liabilities2.792.662.742.972.852.602.68
Retained Earnings0.960.720.440.200.030.150.40
Total Stockholder Equity1.661.520.800.860.770.811.20

Income Statement

(in billions USD) (except per-share rows)
MetricFY 2025FY 2024FY 2023FY 2022FY 2021FY 2020FY 2019
Total Revenue1.961.841.401.380.710.611.56
Cost of Revenue*1.271.240.910.960.620.651.14
Gross Profit0.690.610.490.420.08(0.05)0.42
Selling, General & Admin0.220.200.140.140.100.100.17
Total Operating Expenses*1.491.44(0.06)0.110.080.120.20
Operating Income0.490.450.540.300.01(0.16)0.22
Interest Expense0.090.110.100.160.130.100.09
Pretax Income0.330.610.200.19(0.09)(0.38)0.01
Tax Provision0.070.30(0.02)0.020.07(0.01)0.02
Net Income0.260.310.230.17(0.18)(0.36)(0.01)
Basic EPS1.531.761.491.05(0.73)(1.58)0.06
Diluted EPS1.521.751.491.05------

* Derived from reported values

Cash Flow Statement

(in millions USD)
MetricFY 2025FY 2024FY 2023FY 2022FY 2021FY 2020FY 2019
Operating Cash Flow465.22405.30356.42302.63107.960.84(19.71)
Investing Cash Flow(71.91)(32.49)(66.40)9.399.631.62(12.15)
Financing Cash Flow(234.66)(271.19)(201.63)(234.29)(3.67)90.5424.58