Carlsberg A/S

CABGY · OTC
Analyze with AI
12/31/2024
12/31/2023
12/31/2022
12/31/2021
Operating Activities
Net Income$994,565$11,105,000$11,470,000$10,862,000
Dep. & Amort.$633,749$4,074,000$4,187,000$4,612,000
Deferred Tax$0$0$0-$3,698,000
Stock-Based Comp.$0$130,000$97,000$82,000
Change in WC-$92,379-$82,000$1,443,000$1,419,000
Other Non-Cash$219,419-$3,620,000-$4,248,000-$18,000
Operating Cash Flow$1,755,354$11,607,000$12,949,000$13,259,000
Investing Activities
PP&E Inv.-$729,464-$4,243,000-$4,018,000-$4,221,000
Net Acquisitions-$892,034-$826,000-$48,000-$687,000
Inv. Purchases-$23,349$0-$68,000-$50,000
Inv. Sales/Matur.$316,004$0$2,000$50,000
Other Inv. Act.$384,020-$1,660,000$1,067,000$525,000
Investing Cash Flow-$944,822-$6,729,000-$3,065,000-$4,383,000
Financing Activities
Debt Repay.-$277,138$9,837,000-$705,000-$1,203,000
Stock Issued$0$0$0$0
Stock Repurch.-$284,244-$3,200,000-$7,789,000-$3,600,000
Dividends Paid-$522,226-$3,695,000-$3,389,000-$3,187,000
Other Fin. Act.$0-$1,572,000$2,119,000-$958,000
Financing Cash Flow-$1,083,609$1,370,000-$9,764,000-$8,948,000
Forex Effect-$107,226-$1,229,000-$683,000$458,000
Net Chg. in Cash-$1,872,000$5,219,000-$181,000$386,000
Supplemental Information
Beg. Cash$13,382,000$8,163,000$8,344,000$7,958,000
End Cash$11,510,000$13,382,000$8,163,000$8,344,000
Free Cash Flow$1,025,890$7,364,000$8,931,000$9,038,000