Mitie Group Net Cash Flow 2017-2025 | MITFY

Mitie Group net cash flow from 2017 to 2025. Net cash flow can be defined as the total change in cash for the company over the given period.
Mitie Group Annual Net Cash Flow
(Millions of US $)
2024 $-4
2023 $-117
2022 $204
2021 $74
2020 $21
2019 $64
2018 $-92
2017 $47
2016 $-5
2015 $N/A
2014 $N/A
2013 $N/A
Sector Industry Market Cap Revenue
Business Services Business Services $2.613B $6.483B
Mitie Group plc provides strategic outsourcing services. The company's operating segment includes Soft FM, Hard FM, Property Management and Healthcare. Soft FM segment includes cleaning and environmental services, security, catering and front of house services. Hard FM segment includes technical, building maintenance and energy services. Property management segment provides repair and maintenance services in the social housing market. Healthcare segment provides care at home for people who need help and support due to illness, infirmity or disability. It operates primarily in the United Kingdom, the Republic of Ireland, Guernsey, Jersey, Germany, France, Finland, Norway, Sweden, the Netherlands, Spain, Poland, Switzerland, Belgium, Nigeria, Kenya, Ghana, the United Arab Emirates, and internationally. Mitie Group plc is headquartered in Bristol, the United Kingdom.
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