Growth Metrics

Veon (VEON) Net Cash Flow (2016 - 2024)

Veon has reported Net Cash Flow over the past 12 years, most recently at -$992.0 million for Q4 2024.

  • For Q4 2024, Net Cash Flow changed N/A year-over-year to -$992.0 million; the TTM value through Dec 2025 reached -$992.0 million, changed 0.0%, while the annual FY2025 figure was $14.0 million, 107.82% up from the prior year.
  • Net Cash Flow was -$992.0 million for Q4 2024 at Veon, down from $376.0 million in the prior quarter.
  • Across five years, Net Cash Flow topped out at $750.0 million in Q1 2020 and bottomed at -$992.0 million in Q4 2024.
  • The 3-year median for Net Cash Flow is $294.0 million (2020), against an average of $88.3 million.
  • Year-over-year, Net Cash Flow plummeted 280.61% in 2020 and then surged 148.41% in 2021.
  • Over 3 years, Net Cash Flow stood at $602.0 million in 2020, then crashed by 37.54% to $376.0 million in 2021, then tumbled by 363.83% to -$992.0 million in 2024.
  • The last three reported values for Net Cash Flow were -$992.0 million (Q4 2024), $376.0 million (Q4 2021), and $304.0 million (Q3 2021) per Business Quant data.