Crayon Group Holding ASA

CRAYF · OTC
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12/31/2024
12/31/2023
12/31/2022
12/31/2021
Operating Activities
Net Income$396-$82$65$303
Dep. & Amort.$337$302$334$175
Deferred Tax$0-$42-$13-$55
Stock-Based Comp.$0$0$13$55
Change in WC$412$1,084-$344-$449
Other Non-Cash$154$151$47-$3
Operating Cash Flow$1,299$1,413$102$26
Investing Activities
PP&E Inv.-$150-$153-$142-$83
Net Acquisitions$0-$31-$57-$2,478
Inv. Purchases$0$0-$26$0
Inv. Sales/Matur.$0$0$142$0
Other Inv. Act.-$10-$87-$142$0
Investing Cash Flow-$160-$271-$225-$2,561
Financing Activities
Debt Repay.-$661-$871$549$1,747
Stock Issued$46$3$73$686
Stock Repurch.$0-$100$0$0
Dividends Paid$0$0$0$0
Other Fin. Act.-$428-$312-$180$629
Financing Cash Flow-$1,043-$1,280$398$2,375
Forex Effect$91$76$38-$18
Net Chg. in Cash$187-$63$313-$178
Supplemental Information
Beg. Cash$1,467$1,530$1,217$1,394
End Cash$1,654$1,467$1,530$1,217
Free Cash Flow$1,149$1,260-$40-$57
Crayon Group Holding ASA (CRAYF) Financial Statements & Key Stats | AlphaPilot