Rogaland Sparebank (ROGS) Cash Flow | TickerRogaland Sparebank — Cash Flow
XOSL:ROGS · OSLO BORS
| FY24 | FY23 | FY22 | FY21 | FY20 | YoY | Trend |
|---|
| Operating Activities |
| Profit Before Tax | £535.5M | £395.8M | £314.0M | £328.2M | £310.9M | +35.3% | |
| Net Cash from Operating | -£506.4M | -£139.0M | -£1.4B | £502.5M | £437.9M | -264.2% | |
| Investing Activities |
| Capital Expenditure | £696K | — | — | — | — | — | |
| Net Cash from Investing | £240.6M | £118.4M | -£60.8M | £1.0B | £155.1M | +103.3% | |
| Financing Activities |
| Share Buybacks | £8.3M | -£5.9M | -£2.4M | -£659K | £155.6M | +241.9% | |
| Dividends Paid | £157.8M | £127.3M | £112.8M | £125.8M | £104.6M | +24.0% | |
| Net Cash from Financing | £393.5M | -£19.0M | £1.5B | -£1.6B | -£678.8M | +2176.6% | |
| Cash Movement |
| Net Change in Cash | £127.7M | -£39.6M | £62.3M | -£48.6M | -£85.9M | +422.1% | |
Currency: NOKPeriods: 5
Source: Annual Reports