Odfjell SE | Cash Flow

Fiscal year is January-December. All values NOK Millions.
2013
2014
2015
2016
2017
2018
Net Income before Extraordinaries
671
478
244
898
768
1,677
Depreciation, Depletion & Amortization
1,220
568
712
746
736
776
Other Funds
-
-
-
-
47
1,847
Funds from Operations
224
86
742
1,571
1,577
946
Changes in Working Capital
118
190
16
119
54
62
Net Operating Cash Flow
342
276
758
1,453
1,524
1,008
Capital Expenditures
1,668
905
397
443
1,432
Sale of Fixed Assets & Businesses
129
-
213
443
33
Purchase/Sale of Investments
643
1
-
-
83
Net Investing Cash Flow
855
905
187
49
1,292
Cash Dividends Paid - Total
-
-
-
-
115
Issuance/Reduction of Debt, Net
758
549
346
889
271
Net Financing Cash Flow
509
713
346
1,100
108
Net Change in Cash
6
74
178
394
348
Free Cash Flow
1,326
629
361
1,010
92
Other Sources
42
-
-
48
23
Change in Capital Stock
248
165
-
211
-
Exchange Rate Effect
3
10
47
7
8
Other Uses
-
2
2
-
-

About Odfjell SE

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Address
Conrad Mohrs veg 29
Bergen HL 5892
Norway
Employees -
Website http://www.odfjell.com
Updated 07/08/2019
Odfjell SE engages in the transportation and storage of bulk liquid chemicals, acids, edible oils, and other special projects. It operates through the following segments: Chemical Tankers, Tank Terminals, and Gas Carriers. The Chemical Tankers segment offers worldwide service, servicing ports in Europe, North and South America, the Middle East and Asia, Australia, and Africa.