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Grupo Clarín S.A. GCLAF
$2.20 $0.4525.71% OTC PK
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12/31/2025 09/30/2025 06/30/2025 03/31/2025 12/31/2024
Net Income 37.53M 43.37M 36.71M 10.12M -7.98M
Total Depreciation and Amortization 16.39M 18.01M 19.22M 20.71M 22.56M
Total Amortization of Deferred Charges 2.23M 1.88M 1.88M 1.88M 1.88M
Total Other Non-Cash Items 33.41M 20.09M 23.20M 27.17M 32.95M
Change in Net Operating Assets -38.25M -45.61M -42.33M -35.55M -55.24M
Cash from Operations 51.31M 37.75M 38.68M 24.32M -5.82M
Capital Expenditure -13.15M -12.68M -12.77M -12.45M -12.01M
Sale of Property, Plant, and Equipment 151.60K 165.00K 209.20K 210.10K 255.40K
Cash Acquisitions -- -- -- -- --
Divestitures -- 752.80K 818.60K 1.87M 1.87M
Other Investing Activities -5.41M -6.66M -7.40M -6.57M -5.68M
Cash from Investing -18.41M -18.42M -19.14M -16.95M -15.57M
Total Debt Issued 5.59B 13.37B 17.73B 27.86B 42.57B
Total Debt Repaid -11.66B -26.92B -30.36B -34.12B -32.67B
Issuance of Common Stock -- -- -- -- --
Repurchase of Common Stock -- -- -- -- --
Issuance of Preferred Stock -- -- -- -- --
Repurchase of Preferred Stock -- -- -- -- --
Total Dividends Paid -- -- -- -- --
Other Financing Activities 47.10M -6.00B -6.75B -7.49B -8.12B
Cash from Financing -5.31M -19.47M -19.14M -12.70M 4.73M
Foreign Exchange rate Adjustments 3.26M 15.21M -20.16M -20.16M -20.16M
Miscellaneous Cash Flow Adjustments 42.20K 12.10K 28.34M 19.77M -3.61M
Net Change in Cash 30.88M 15.07M 8.58M -5.71M -40.43M