BEVEST ASA (BINT) Cash Flow | TickerBEVEST ASA — Cash Flow
XOSL:BINT · OSLO BORS
| FY24 | FY23 | FY22 | FY21 | FY20 | YoY | Trend |
|---|
| Operating Activities |
| Profit Before Tax | — | -£51.6M | £282.0M | £382.3M | £406.9M | — | |
| Net Cash from Operating | — | £357.0M | £279.0M | £77.7M | £25.0M | — | |
| Investing Activities |
| Acquisitions | — | — | — | — | £1.1B | — | |
| Net Cash from Investing | — | -£765.7M | -£1.4B | -£660.1M | -£1.1B | — | |
| Financing Activities |
| Share Issues | — | £423.3M | £324.0M | £326.4M | £260.0M | — | |
| Dividends Paid | £3.8B | — | — | — | — | — | |
| Net Cash from Financing | — | £509.5M | £1.1B | £664.7M | £1.2B | — | |
| Cash Movement |
| Net Change in Cash | — | £88.5M | -£21.0M | £82.4M | £125.1M | — | |
| FX Adjustments | — | -£12.3M | £3.0M | £191K | £135K | — | |
Currency: NOKPeriods: 5
Source: Annual Reports