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TS

Tenaris SA

Energy · Oil & Gas Equipment & Services

52.60$ -1.0% vs. previous close Closing price · As of: Aug 13, 2026

Statements

Cash Flow

Tenaris SA (TS) by the numbers: income statement, balance sheet and cash flow, by year or by quarter. In the most recent period (2025), "Operating Cash Flow" came in at 2,600 million USD. Tick rows to compare them in a chart.

All figures in millions of USD.

Tick rows to compare them in a chart (up to 4)

Cash Flow TS
Line item 2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 2024 2025
2,044 2,215 864 -22 611 1,528 1,520 119 1,167 4,395 2,866 2,600
616 659 662 609 664 540 679 595 608 549 633 616
93 350 -37 -129 -254 -68 543 -507 -841
348 268 -180 -322 -74 -277 430 -530 137
-72 1,374 348 -855 -738 523 1,059 -1,046 -2,131 182 287 125
1,142 1,121 763 553 343 348 194 245 397 619 704 617
-1,786 -1,774 -98 349 399 -40 -2,092 268 -164 -2,687 -1,397 -193
531 531 508 484 484 484 83 319 531 637 758 900
-0.1 -1.1 -1.1 0.0 0.0 0.0 -214 -1,440 -1,362
156 0.2 -115 107 -413 132 -287 -326 365 -260 -197 -184
-424 -535 -653 -401 -900 -354 -375 -648 -178 -1,125 -2,399 -2,478
-182 -130 112 -68 97 1,128 -970 -267 773 525 -956 -88
902 1,094 100 -575 267 1,180 1,326 -126 770 3,776 2,162 1,982

Data as of: August 13, 2026 · Source: fundamental data & SEC filings (annual and quarterly reports, 10-K/10-Q)

Note: pure fact-based analysis, not investment advice and not a solicitation to buy or sell. All figures without guarantee.

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