Rockwool A/S

ROCK-B.CO · CPH
Analyze with AI
12/31/2024
12/31/2023
12/31/2022
12/31/2021
Operating Activities
Net IncomeDKK 677DKK 518DKK 402DKK 401
Dep. & Amort.DKK 263DKK 261DKK 236DKK 201
Deferred TaxDKK 0DKK 0DKK 0DKK 0
Stock-Based Comp.DKK 3DKK 3DKK 3DKK 4
Change in WC-DKK 7DKK 97-DKK 148-DKK 82
Other Non-Cash-DKK 119-DKK 172-DKK 99-DKK 96
Operating Cash FlowDKK 817DKK 707DKK 394DKK 426
Investing Activities
PP&E Inv.-DKK 376-DKK 321-DKK 334-DKK 302
Net Acquisitions-DKK 74DKK 5-DKK 1-DKK 8
Inv. PurchasesDKK 0DKK 0DKK 0DKK 0
Inv. Sales/Matur.DKK 0DKK 0DKK 0DKK 0
Other Inv. Act.-DKK 3DKK 4DKK 1-DKK 7
Investing Cash Flow-DKK 453-DKK 312-DKK 334-DKK 310
Financing Activities
Debt Repay.-DKK 29-DKK 100DKK 98-DKK 74
Stock IssuedDKK 0DKK 0DKK 1DKK 1
Stock Repurch.-DKK 152-DKK 3-DKK 2-DKK 7
Dividends Paid-DKK 125-DKK 101-DKK 102-DKK 93
Other Fin. Act.-DKK 3-DKK 34-DKK 9-DKK 21
Financing Cash Flow-DKK 309-DKK 238-DKK 14-DKK 194
Forex Effect-DKK 6-DKK 6-DKK 9DKK 3
Net Chg. in CashDKK 49DKK 151DKK 37-DKK 75
Supplemental Information
Beg. CashDKK 353DKK 202DKK 165DKK 240
End CashDKK 402DKK 353DKK 202DKK 165
Free Cash FlowDKK 430DKK 381DKK 60DKK 124