Wallenius Wilhelmsen ASA

WAWI.OL · OSL
Analyze with AI
12/31/2024
12/31/2023
12/31/2022
12/31/2021
Operating Activities
Net IncomeNOK 1,138NOK 1,035NOK 829NOK 199
Dep. & Amort.NOK 580NOK 577NOK 541NOK 483
Deferred TaxNOK 0NOK 0NOK 0NOK 0
Stock-Based Comp.NOK 0NOK 0NOK 0NOK 0
Change in WC-NOK 24NOK 11-NOK 155-NOK 202
Other Non-CashNOK 68NOK 148NOK 82NOK 143
Operating Cash FlowNOK 1,762NOK 1,771NOK 1,297NOK 623
Investing Activities
PP&E Inv.-NOK 195-NOK 163-NOK 112-NOK 141
Net AcquisitionsNOK 0-NOK 13-NOK 11NOK 0
Inv. PurchasesNOK 0NOK 0NOK 0-NOK 7
Inv. Sales/Matur.NOK 0NOK 0NOK 0NOK 0
Other Inv. Act.NOK 87NOK 72NOK 61NOK 8
Investing Cash Flow-NOK 108-NOK 104-NOK 62-NOK 140
Financing Activities
Debt Repay.-NOK 807-NOK 501-NOK 445-NOK 261
Stock IssuedNOK 0NOK 0NOK 0NOK 0
Stock Repurch.NOK 0-NOK 4NOK 0NOK 0
Dividends Paid-NOK 738-NOK 362-NOK 63NOK 0
Other Fin. Act.-NOK 384-NOK 310-NOK 221-NOK 166
Financing Cash Flow-NOK 1,929-NOK 1,177-NOK 729-NOK 427
Forex EffectNOK 0-NOK 1NOK 0NOK 0
Net Chg. in Cash-NOK 312NOK 489NOK 506NOK 56
Supplemental Information
Beg. CashNOK 1,705NOK 1,216NOK 710NOK 654
End CashNOK 1,393NOK 1,705NOK 1,216NOK 710
Free Cash FlowNOK 1,567NOK 1,608NOK 1,185NOK 482