PGS ASA

PGS.OL · OSL
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12/31/2023
12/31/2022
12/31/2021
12/31/2020
Operating Activities
Net Income-NOK 6-NOK 7-NOK 164-NOK 306
Dep. & Amort.NOK 284NOK 354NOK 495NOK 463
Deferred TaxNOK 0NOK 0NOK 0NOK 0
Stock-Based Comp.NOK 0NOK 0NOK 0NOK 0
Change in WCNOK 100-NOK 68-NOK 90NOK 126
Other Non-CashNOK 89NOK 91NOK 86NOK 84
Operating Cash FlowNOK 467NOK 371NOK 327NOK 367
Investing Activities
PP&E Inv.-NOK 89-NOK 165-NOK 173-NOK 264
Net AcquisitionsNOK 0NOK 0NOK 0NOK 0
Inv. PurchasesNOK 0NOK 0NOK 0NOK 0
Inv. Sales/Matur.NOK 0NOK 0NOK 0NOK 0
Other Inv. Act.-NOK 196NOK 3NOK 1NOK 9
Investing Cash Flow-NOK 285-NOK 162-NOK 172-NOK 255
Financing Activities
Debt Repay.-NOK 296-NOK 123-NOK 20NOK 54
Stock IssuedNOK 40NOK 241NOK 0NOK 92
Stock Repurch.-NOK 1-NOK 0NOK 0NOK 0
Dividends PaidNOK 0NOK 0NOK 0NOK 0
Other Fin. Act.-NOK 110-NOK 134-NOK 122-NOK 142
Financing Cash Flow-NOK 368-NOK 16-NOK 141NOK 4
Forex EffectNOK 0NOK 0NOK 0NOK 0
Net Chg. in Cash-NOK 186NOK 194NOK 13NOK 116
Supplemental Information
Beg. CashNOK 364NOK 170NOK 157NOK 41
End CashNOK 178NOK 364NOK 170NOK 157
Free Cash FlowNOK 182NOK 207NOK 154NOK 103