TGS ASA (TGSGY)

USD 9.93

(0.0%)

Annual Cash Flows

(In USD)
Breakdown 2023 2022 2021 2020 2019 2018
Operating Cash Flow 584.7 Million 343.15 Million 317.64 Million 354.72 Million 560.64 Million 390.02 Million
Net Income 21.64 Million 128.86 Million -85.08 Million -260.92 Million 131.21 Million 236.77 Million
Depreciation & Amortization 322.99 Million 406.82 Million 478.11 Million 484.54 Million 325.73 Million 279.67 Million
Deferred income taxes -4.06 Million -2.55 Million -6.11 Million -2.84 Million -8.41 Million -
Stock-based compensation 4.06 Million 2.55 Million 6.11 Million 2.84 Million 8.41 Million 5.52 Million
Change in working capital 234.35 Million -177.5 Million -61.2 Million 200.15 Million 137.08 Million -90.1 Million
Other non-cash items 5.7 Million -15.03 Million -14.17 Million -69.04 Million -33.38 Million -36.31 Million
Investing Cash Flow -435.96 Million -272.71 Million -200.84 Million -390.49 Million -334.37 Million -288.95 Million
Investments in PPE -438.2 Million -224.55 Million -185.06 Million -391.34 Million -355.25 Million -289.43 Million
Acquisitions 2.23 Million -54.56 Million -18.3 Million - 14.62 Million -6.5 Million
Investment purchases - - - - - -
Sales/Maturities of investments - - - - - -
Other Investing Activities 1.00 6.39 Million 2.52 Million 853 Thousand 6.26 Million 6.98 Million
Financing Cash Flow -144.16 Million -99.35 Million -90.07 Million -97.28 Million -173.34 Million -77.46 Million
Debt repayment -44.74 Million -20.59 Million -2.5 Million - -16.28 Million -
Dividends payments -70.6 Million -66.13 Million -65.52 Million -87.78 Million -114.64 Million -81.44 Million
Common Stock Repurchased -54.38 Million -7.01 Million -15.68 Million -6.6 Million -43.15 Million -
Common Stock Issuance 86.52 Million 20.59 Million - - 1.51 Million 4.97 Million
Other Financing Activities 1000.00 -26.2 Million -6.36 Million -2.89 Million -778 Thousand -991 Thousand
Accounts receivables -9.13 Million 33.06 Million 17.61 Million -39.31 Million 1.38 Million 6.13 Million
Accounts payables - - - - - -
Inventory - - - - - -
Other working capital 243.48 Million -210.56 Million -78.81 Million 239.46 Million 135.7 Million -96.23 Million
Cash at beginning of period 188.45 Million 215.32 Million 195.71 Million 323.4 Million 273.52 Million 249.91 Million
Cash at end of period 196.74 Million 188.45 Million 215.32 Million 195.71 Million 323.4 Million 273.52 Million
Capital Expenditure -438.2 Million -224.55 Million -185.06 Million -391.34 Million -355.25 Million -289.43 Million
Effect of forex changes on cash 3.71 Million 2.04 Million -7.11 Million 5.35 Million -3.05 Million -
Net cash flow / Change in cash 8.28 Million -26.87 Million 19.61 Million -127.69 Million 49.88 Million 23.61 Million
Free Cash Flow 146.5 Million 118.6 Million 132.58 Million -36.61 Million 205.39 Million 100.59 Million

Cash Flow Charts