Lerøy Seafood Group ASA

LSG.OL · OSL
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12/31/2024
12/31/2023
12/31/2022
12/31/2021
Operating Activities
Net IncomeNOK 2,554,131NOK 272,501NOK 4,066,951NOK 3,531,665
Dep. & Amort.NOK 1,652,209NOK 1,483,886NOK 1,326,039NOK 1,252,334
Deferred TaxNOK 0NOK 0NOK 0NOK 0
Stock-Based Comp.NOK 0NOK 0NOK 0NOK 0
Change in WC-NOK 1,296,088-NOK 1,128,784-NOK 1,711,675NOK 412,211
Other Non-Cash-NOK 866,247NOK 2,709,642-NOK 1,405,922-NOK 1,455,836
Operating Cash FlowNOK 2,044,005NOK 3,337,245NOK 2,275,393NOK 3,740,374
Investing Activities
PP&E Inv.-NOK 1,664,613-NOK 1,326,274-NOK 911,687-NOK 1,018,514
Net Acquisitions-NOK 25,717-NOK 78,493-NOK 56,895-NOK 510,926
Inv. PurchasesNOK 0NOK 0-NOK 58,953-NOK 514,882
Inv. Sales/Matur.NOK 0NOK 3,764NOK 1,835NOK 127
Other Inv. Act.NOK 52,023NOK 171,706NOK 118,048NOK 603,880
Investing Cash Flow-NOK 1,638,307-NOK 1,229,297-NOK 907,652-NOK 1,440,315
Financing Activities
Debt Repay.NOK 832,628NOK 968,232-NOK 914,036NOK 377,089
Stock IssuedNOK 0NOK 0NOK 0NOK 0
Stock Repurch.NOK 0NOK 0NOK 0NOK 0
Dividends Paid-NOK 1,536,477-NOK 1,528,685-NOK 1,559,907-NOK 1,202,478
Other Fin. Act.-NOK 699,768-NOK 529,263NOK 207,934-NOK 237,933
Financing Cash Flow-NOK 1,403,617-NOK 1,089,716-NOK 2,266,009-NOK 1,063,322
Forex EffectNOK 0NOK 0NOK 0NOK 0
Net Chg. in Cash-NOK 997,918NOK 1,018,231-NOK 898,268NOK 1,236,737
Supplemental Information
Beg. CashNOK 4,323,109NOK 3,304,878NOK 4,203,146NOK 2,966,409
End CashNOK 3,325,191NOK 4,323,109NOK 3,304,878NOK 4,203,146
Free Cash FlowNOK 160,706NOK 2,010,971NOK 1,363,706NOK 2,721,860