CARTESIAN GROWTH CORPORATION II (REEWF) Operating cash flow 2022–2025
CARTESIAN GROWTH CORPORATION II (REEWF) annual operating cash flow history from SEC filings — net cash provided by operating activities each fiscal year.
-$773,847FY2025 · since FY2022: -$842,878 → -$773,847
| Fiscal year | Value | YoY |
|---|---|---|
| FY2025 | -$773,847 | +5.0% |
| FY2024 | -$814,232 | +11.8% |
| FY2023 | -$922,735 | -9.5% |
| FY2022 | -$842,878 | — |
Source: SEC XBRL filings · For reference only · Not investment advice