Klaveness Combination Carriers ASA

KCC.OL · OSL
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12/31/2024
12/31/2023
12/31/2022
12/31/2021
Market CapNOK 396NOK 487NOK 349NOK 265
- CashNOK 56NOK 68NOK 65NOK 54
+ DebtNOK 225NOK 248NOK 320NOK 357
Enterprise ValueNOK 564NOK 667NOK 604NOK 568
RevenueNOK 278NOK 287NOK 261NOK 198
% Growth-3.1%10.2%31.7%
Gross ProfitNOK 157NOK 143NOK 107NOK 59
% Margin56.5%49.7%40.9%29.7%
EBITDANOK 129NOK 138NOK 107NOK 59
% Margin46.4%48.1%41.2%29.8%
Net IncomeNOK 81NOK 87NOK 61NOK 23
% Margin29.3%30.3%23.4%11.4%
EPS Diluted1.351.521.160.46
% Growth-11.2%31%152.2%
Operating Cash FlowNOK 136NOK 149NOK 106NOK 46
Capital Expenditures-NOK 27-NOK 13-NOK 10-NOK 119
Free Cash FlowNOK 109NOK 136NOK 96-NOK 73
Klaveness Combination Carriers ASA (KCC.OL) Financial Statements & Key Stats | AlphaPilot