Hafnia Limited

HAFNIO.OL · OSL
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12/31/2024
12/31/2023
12/31/2022
12/31/2021
Operating Activities
Net IncomeNOK 8,324NOK 8,385NOK 7,231-NOK 477
Dep. & Amort.NOK 2,313NOK 2,231NOK 2,013NOK 1,304
Deferred TaxNOK 0NOK 0NOK 0NOK 0
Stock-Based Comp.NOK 0NOK 0NOK 0NOK 0
Change in WCNOK 480NOK 515-NOK 2,240-NOK 379
Other Non-Cash-NOK 448-NOK 767-NOK 428NOK 145
Operating Cash FlowNOK 10,669NOK 10,364NOK 6,575NOK 593
Investing Activities
PP&E Inv.-NOK 534-NOK 1,949-NOK 4,304-NOK 232
Net AcquisitionsNOK 614NOK 1,509NOK 2,654NOK 251
Inv. Purchases-NOK 175-NOK 297-NOK 131-NOK 234
Inv. Sales/Matur.NOK 282NOK 253NOK 0NOK 0
Other Inv. Act.NOK 0NOK 0NOK 0-NOK 204
Investing Cash FlowNOK 187-NOK 484-NOK 1,781-NOK 419
Financing Activities
Debt Repay.NOK 9-NOK 713NOK 49NOK 163
Stock IssuedNOK 10NOK 98NOK 943NOK 0
Stock Repurch.-NOK 529NOK 0NOK 0NOK 0
Dividends Paid-NOK 7,527-NOK 5,752-NOK 2,345NOK 0
Other Fin. Act.-NOK 2,164-NOK 4,124-NOK 2,223-NOK 342
Financing Cash Flow-NOK 10,200-NOK 10,491-NOK 3,576-NOK 179
Forex EffectNOK 304NOK 109NOK 661NOK 26
Net Chg. in CashNOK 961-NOK 502NOK 1,879NOK 21
Supplemental Information
Beg. CashNOK 2,260NOK 2,761NOK 882NOK 862
End CashNOK 3,221NOK 2,260NOK 2,761NOK 882
Free Cash FlowNOK 10,136NOK 8,414NOK 2,271NOK 361