Hexagon Composites ASA

HEX.OL · OSL
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12/31/2024
12/31/2023
12/31/2022
12/31/2021
Operating Activities
Net Income-NOK 213NOK 1,114-NOK 417-NOK 302
Dep. & Amort.NOK 284NOK 317NOK 332NOK 263
Deferred TaxNOK 0NOK 0NOK 0-NOK 63
Stock-Based Comp.NOK 46NOK 58NOK 50NOK 36
Change in WC-NOK 402NOK 272NOK 152-NOK 331
Other Non-CashNOK 431-NOK 1,378-NOK 19NOK 52
Operating Cash FlowNOK 147NOK 383NOK 99-NOK 345
Investing Activities
PP&E Inv.-NOK 291-NOK 467-NOK 583-NOK 361
Net AcquisitionsNOK 1,053NOK 159-NOK 65-NOK 146
Inv. Purchases-NOK 879-NOK 5-NOK 65-NOK 10
Inv. Sales/Matur.NOK 0NOK 274NOK 65NOK 60
Other Inv. Act.-NOK 120-NOK 315NOK 131-NOK 18
Investing Cash Flow-NOK 237-NOK 355-NOK 517-NOK 475
Financing Activities
Debt Repay.NOK 189NOK 189NOK 244-NOK 194
Stock IssuedNOK 291NOK 576NOK 189NOK 10
Stock Repurch.NOK 0-NOK 64-NOK 30NOK 0
Dividends PaidNOK 0NOK 0NOK 0NOK 0
Other Fin. Act.-NOK 244-NOK 272NOK 306-NOK 53
Financing Cash FlowNOK 235NOK 430NOK 520-NOK 238
Forex EffectNOK 26-NOK 44NOK 12NOK 8
Net Chg. in CashNOK 148-NOK 559NOK 113-NOK 1,050
Supplemental Information
Beg. CashNOK 154NOK 714NOK 600NOK 1,650
End CashNOK 302NOK 154NOK 714NOK 600
Free Cash Flow-NOK 144-NOK 84-NOK 484-NOK 706