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Adecoagro (AGRO)

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  • 13.110
  • +0.090+0.69%
Close May 15 15:59 ET
  • 13.200
  • +0.090+0.69%
Post 19:05 ET
1.89BMarket Cap728.33P/E (TTM)

Adecoagro (AGRO) Cash Flow

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 31, 2026
(FY)Dec 31, 2025
(Q4)Dec 31, 2025
(Q3)Sep 30, 2025
(Q2)Jun 30, 2025
(Q1)Mar 31, 2025
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
86.47%-2.58M
-6.03%308.52M
3.89%169.83M
-38.65%30.1M
-15.79%130.11M
50.72%-19.07M
-24.51%328.33M
-8.02%163.46M
-77.44%49.07M
67.20%154.5M
Net income from continuing operations
134.20%43.81M
-107.34%-6.76M
-191.79%-14.85M
-65.65%6.43M
-272.71%-17.04M
-60.49%18.71M
-59.38%92.1M
-80.32%16.18M
-75.18%18.71M
-78.60%9.87M
Operating gains losses
-166.69%-78.72M
-119.16%-16.25M
-84.13%6.14M
382.74%19.69M
-135.10%-12.56M
-270.80%-29.52M
200.50%84.8M
140.19%38.69M
-165.60%-6.97M
691.47%35.8M
Depreciation and amortization
56.44%72.9M
-10.71%271.47M
-3.43%66.91M
2.27%83.36M
-22.44%74.6M
-18.32%46.6M
10.92%304.02M
17.18%69.28M
-8.80%81.51M
15.24%96.19M
Deferred tax
411.25%24.37M
91.74%-6.32M
99.50%-184K
-117.08%-776K
104.30%2.47M
-160.58%-7.83M
-197.24%-76.5M
-235.77%-36.52M
-66.70%4.54M
-362.16%-57.45M
Other non cash items
186.63%31.27M
-24.12%80.27M
13.34%39.69M
-94.43%3.77M
-55.01%25.9M
120.05%10.91M
3,852.95%105.78M
54.49%35.02M
890.59%67.63M
272.03%57.56M
Change In working capital
-64.57%-97.6M
84.84%-27.2M
62.86%67.37M
28.86%-80.8M
288.92%47.97M
50.41%-59.3M
-153.51%-179.45M
-48.92%41.37M
-426.93%-113.57M
117.70%12.34M
-Change in receivables
90.25%-11.66M
16.22%-57.22M
-77.44%18.66M
121.30%24.12M
462.71%19.56M
-269.50%-119.56M
-1,954.44%-68.3M
16.21%82.69M
-2,251.23%-113.24M
84.44%-5.39M
-Change in inventory
-76.75%13.56M
172.21%25.83M
441.19%59.3M
-5,888.26%-91.8M
119.93%2.45M
277.26%58.33M
0.09%-35.77M
281.85%10.96M
95.75%-1.53M
51.50%-12.29M
-Change in payables and accrued expense
-1,689.82%-96.5M
99.05%-916K
61.44%-20.12M
-1,079.45%-10.25M
154.23%23.37M
111.17%6.07M
-240.71%-96.25M
-433.16%-52.16M
-98.48%1.05M
178.08%9.19M
-Change in other current assets
19.55%159K
111.68%240K
98.69%-22K
235.29%57K
820.00%72K
134.91%133K
-5,451.35%-2.05M
-371.84%-1.68M
105.56%17K
94.51%-10K
-Change in other working capital
26.07%-3.16M
-78.79%4.86M
512.77%9.55M
-2,120.69%-2.93M
-87.93%2.52M
-1,197.43%-4.27M
320.95%22.93M
474.52%1.56M
104.66%145K
812.35%20.84M
Cash from discontinued investing activities
Operating cash flow
86.47%-2.58M
-6.03%308.52M
3.89%169.83M
-38.65%30.1M
-15.79%130.11M
50.72%-19.07M
-24.51%328.33M
-8.02%163.46M
-77.44%49.07M
67.20%154.5M
Investing cash flow
Cash flow from continuing investing activities
-330.80%-426.05M
-298.57%-922.94M
-681.46%-660.42M
-3,497.67%-142.25M
57.19%-23.83M
-13.10%-98.9M
-107.58%-231.57M
15.81%-84.51M
-112.92%-3.95M
-2,722.36%-55.66M
Capital expenditure reported
97.16%-4K
92.79%-139K
99.79%-1K
83.52%-43K
-140.10%-2.4M
23.37%-141K
-277.30%-1.93M
-286.49%-483K
---261K
-2,602.70%-1M
Net PPE purchase and sale
-2.67%-86.36M
-9.18%-256.15M
-27.43%-70.87M
-9.32%-49.82M
-28.90%-51.35M
10.13%-84.12M
-14.85%-234.62M
20.82%-55.62M
-7,187.25%-45.57M
28.91%-39.84M
Net intangibles purchase and sale
-84.14%-569K
-71.68%-2.04M
-367.25%-799K
7.79%-426K
-1,405.13%-509K
48.15%-309K
7.82%-1.19M
-363.08%-171K
22.22%-462K
108.33%39K
Net business purchase and sale
---396.28M
-4,077.08%-676.02M
-258,910.73%-676.02M
--0
--0
--0
-406.86%-16.18M
---261K
---658K
-530.67%-2.53M
Net investment purchase and sale
400.92%48.59M
-220.05%-17.42M
16.05%-24.62M
-111.95%-4.9M
294.87%28.25M
-193.01%-16.15M
-59.25%14.51M
-28.08%-29.33M
--40.98M
-155.30%-14.5M
Net other investing changes
----
----
----
---96M
----
----
----
----
----
----
Cash from discontinued investing activities
Investing cash flow
-330.80%-426.05M
-298.57%-922.94M
-681.46%-660.42M
-3,497.67%-142.25M
57.19%-23.83M
-13.10%-98.9M
-107.58%-231.57M
15.81%-84.51M
-112.92%-3.95M
-2,722.36%-55.66M
Financing cash flow
Cash flow from continuing financing activities
175.77%216.58M
386.78%785.77M
936.99%533.03M
1,069.26%279.66M
-46.11%-105.46M
171.86%78.54M
-31.26%-274M
64.70%-63.69M
-174.66%-28.85M
-340.78%-72.18M
Net issuance payments of debt
146.98%258.11M
490.66%576.29M
862.28%250.81M
48,203.23%298.24M
-102.36%-77.28M
237.87%104.51M
-59.98%-147.52M
75.29%-32.9M
-111.97%-620K
-160.92%-38.19M
Net common stock issuance
--0
538.77%293.48M
3,627.96%303.69M
--0
--0
52.14%-10.21M
-154.89%-66.89M
-19.06%-8.61M
-119.89%-16.58M
-470.04%-20.36M
Cash dividends paid
--0
0.00%-35M
0.00%-17.5M
--0
0.00%-17.5M
--0
0.00%-35M
0.00%-17.5M
--0
0.00%-17.5M
Proceeds from stock option exercised by employees
--312K
-54.55%45K
--0
--0
--45K
--0
-53.74%99K
-99.43%1K
157.89%98K
--0
Net other financing activities
-175.64%-215K
-379.10%-321K
-120.67%-184K
77.45%-170K
-97.13%111K
-21.88%-78K
-109.38%-67K
--890K
---754K
3,625.00%3.87M
Cash from discontinued financing activities
Financing cash flow
175.77%216.58M
386.78%785.77M
936.99%533.03M
1,069.26%279.66M
-46.11%-105.46M
171.86%78.54M
-31.26%-274M
64.70%-63.69M
-174.66%-28.85M
-340.78%-72.18M
Net cash flow
Beginning cash position
81.38%383.15M
-37.83%211.24M
71.50%340M
28.72%180.61M
32.48%179.53M
-37.83%211.24M
47.31%339.78M
-43.33%198.26M
-28.63%140.31M
57.81%135.51M
Current changes in cash
-437.78%-212.05M
196.68%171.35M
177.99%42.45M
930.25%167.51M
-96.91%824K
83.25%-39.43M
-254.64%-177.23M
114.82%15.27M
-93.16%16.26M
-77.85%26.67M
Effect of exchange rate changes
-81.42%1.43M
-98.85%558K
130.96%706K
-119.47%-8.12M
101.16%253K
-75.24%7.72M
987.98%48.7M
-102.45%-2.28M
149.39%41.69M
-126.18%-21.87M
End cash Position
-3.90%172.53M
81.38%383.15M
81.38%383.15M
71.50%340M
28.72%180.61M
32.48%179.53M
-37.83%211.24M
-37.83%211.24M
-43.33%198.26M
-28.63%140.31M
Free cash flow
13.42%-89.91M
-35.05%42.22M
-10.36%94.8M
-3,066.62%-22.58M
-20.91%73.84M
22.18%-103.84M
-66.05%65M
-12.80%105.75M
-100.42%-713K
171.60%93.36M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
--
--
(Q1)Mar 31, 2026(FY)Dec 31, 2025(Q4)Dec 31, 2025(Q3)Sep 30, 2025(Q2)Jun 30, 2025(Q1)Mar 31, 2025(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 86.47%-2.58M-6.03%308.52M3.89%169.83M-38.65%30.1M-15.79%130.11M50.72%-19.07M-24.51%328.33M-8.02%163.46M-77.44%49.07M67.20%154.5M
Net income from continuing operations 134.20%43.81M-107.34%-6.76M-191.79%-14.85M-65.65%6.43M-272.71%-17.04M-60.49%18.71M-59.38%92.1M-80.32%16.18M-75.18%18.71M-78.60%9.87M
Operating gains losses -166.69%-78.72M-119.16%-16.25M-84.13%6.14M382.74%19.69M-135.10%-12.56M-270.80%-29.52M200.50%84.8M140.19%38.69M-165.60%-6.97M691.47%35.8M
Depreciation and amortization 56.44%72.9M-10.71%271.47M-3.43%66.91M2.27%83.36M-22.44%74.6M-18.32%46.6M10.92%304.02M17.18%69.28M-8.80%81.51M15.24%96.19M
Deferred tax 411.25%24.37M91.74%-6.32M99.50%-184K-117.08%-776K104.30%2.47M-160.58%-7.83M-197.24%-76.5M-235.77%-36.52M-66.70%4.54M-362.16%-57.45M
Other non cash items 186.63%31.27M-24.12%80.27M13.34%39.69M-94.43%3.77M-55.01%25.9M120.05%10.91M3,852.95%105.78M54.49%35.02M890.59%67.63M272.03%57.56M
Change In working capital -64.57%-97.6M84.84%-27.2M62.86%67.37M28.86%-80.8M288.92%47.97M50.41%-59.3M-153.51%-179.45M-48.92%41.37M-426.93%-113.57M117.70%12.34M
-Change in receivables 90.25%-11.66M16.22%-57.22M-77.44%18.66M121.30%24.12M462.71%19.56M-269.50%-119.56M-1,954.44%-68.3M16.21%82.69M-2,251.23%-113.24M84.44%-5.39M
-Change in inventory -76.75%13.56M172.21%25.83M441.19%59.3M-5,888.26%-91.8M119.93%2.45M277.26%58.33M0.09%-35.77M281.85%10.96M95.75%-1.53M51.50%-12.29M
-Change in payables and accrued expense -1,689.82%-96.5M99.05%-916K61.44%-20.12M-1,079.45%-10.25M154.23%23.37M111.17%6.07M-240.71%-96.25M-433.16%-52.16M-98.48%1.05M178.08%9.19M
-Change in other current assets 19.55%159K111.68%240K98.69%-22K235.29%57K820.00%72K134.91%133K-5,451.35%-2.05M-371.84%-1.68M105.56%17K94.51%-10K
-Change in other working capital 26.07%-3.16M-78.79%4.86M512.77%9.55M-2,120.69%-2.93M-87.93%2.52M-1,197.43%-4.27M320.95%22.93M474.52%1.56M104.66%145K812.35%20.84M
Cash from discontinued investing activities
Operating cash flow 86.47%-2.58M-6.03%308.52M3.89%169.83M-38.65%30.1M-15.79%130.11M50.72%-19.07M-24.51%328.33M-8.02%163.46M-77.44%49.07M67.20%154.5M
Investing cash flow
Cash flow from continuing investing activities -330.80%-426.05M-298.57%-922.94M-681.46%-660.42M-3,497.67%-142.25M57.19%-23.83M-13.10%-98.9M-107.58%-231.57M15.81%-84.51M-112.92%-3.95M-2,722.36%-55.66M
Capital expenditure reported 97.16%-4K92.79%-139K99.79%-1K83.52%-43K-140.10%-2.4M23.37%-141K-277.30%-1.93M-286.49%-483K---261K-2,602.70%-1M
Net PPE purchase and sale -2.67%-86.36M-9.18%-256.15M-27.43%-70.87M-9.32%-49.82M-28.90%-51.35M10.13%-84.12M-14.85%-234.62M20.82%-55.62M-7,187.25%-45.57M28.91%-39.84M
Net intangibles purchase and sale -84.14%-569K-71.68%-2.04M-367.25%-799K7.79%-426K-1,405.13%-509K48.15%-309K7.82%-1.19M-363.08%-171K22.22%-462K108.33%39K
Net business purchase and sale ---396.28M-4,077.08%-676.02M-258,910.73%-676.02M--0--0--0-406.86%-16.18M---261K---658K-530.67%-2.53M
Net investment purchase and sale 400.92%48.59M-220.05%-17.42M16.05%-24.62M-111.95%-4.9M294.87%28.25M-193.01%-16.15M-59.25%14.51M-28.08%-29.33M--40.98M-155.30%-14.5M
Net other investing changes ---------------96M------------------------
Cash from discontinued investing activities
Investing cash flow -330.80%-426.05M-298.57%-922.94M-681.46%-660.42M-3,497.67%-142.25M57.19%-23.83M-13.10%-98.9M-107.58%-231.57M15.81%-84.51M-112.92%-3.95M-2,722.36%-55.66M
Financing cash flow
Cash flow from continuing financing activities 175.77%216.58M386.78%785.77M936.99%533.03M1,069.26%279.66M-46.11%-105.46M171.86%78.54M-31.26%-274M64.70%-63.69M-174.66%-28.85M-340.78%-72.18M
Net issuance payments of debt 146.98%258.11M490.66%576.29M862.28%250.81M48,203.23%298.24M-102.36%-77.28M237.87%104.51M-59.98%-147.52M75.29%-32.9M-111.97%-620K-160.92%-38.19M
Net common stock issuance --0538.77%293.48M3,627.96%303.69M--0--052.14%-10.21M-154.89%-66.89M-19.06%-8.61M-119.89%-16.58M-470.04%-20.36M
Cash dividends paid --00.00%-35M0.00%-17.5M--00.00%-17.5M--00.00%-35M0.00%-17.5M--00.00%-17.5M
Proceeds from stock option exercised by employees --312K-54.55%45K--0--0--45K--0-53.74%99K-99.43%1K157.89%98K--0
Net other financing activities -175.64%-215K-379.10%-321K-120.67%-184K77.45%-170K-97.13%111K-21.88%-78K-109.38%-67K--890K---754K3,625.00%3.87M
Cash from discontinued financing activities
Financing cash flow 175.77%216.58M386.78%785.77M936.99%533.03M1,069.26%279.66M-46.11%-105.46M171.86%78.54M-31.26%-274M64.70%-63.69M-174.66%-28.85M-340.78%-72.18M
Net cash flow
Beginning cash position 81.38%383.15M-37.83%211.24M71.50%340M28.72%180.61M32.48%179.53M-37.83%211.24M47.31%339.78M-43.33%198.26M-28.63%140.31M57.81%135.51M
Current changes in cash -437.78%-212.05M196.68%171.35M177.99%42.45M930.25%167.51M-96.91%824K83.25%-39.43M-254.64%-177.23M114.82%15.27M-93.16%16.26M-77.85%26.67M
Effect of exchange rate changes -81.42%1.43M-98.85%558K130.96%706K-119.47%-8.12M101.16%253K-75.24%7.72M987.98%48.7M-102.45%-2.28M149.39%41.69M-126.18%-21.87M
End cash Position -3.90%172.53M81.38%383.15M81.38%383.15M71.50%340M28.72%180.61M32.48%179.53M-37.83%211.24M-37.83%211.24M-43.33%198.26M-28.63%140.31M
Free cash flow 13.42%-89.91M-35.05%42.22M-10.36%94.8M-3,066.62%-22.58M-20.91%73.84M22.18%-103.84M-66.05%65M-12.80%105.75M-100.42%-713K171.60%93.36M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified Opinion--------Unqualified Opinion------
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