SCATEC ASA (SCATC) Cash Flow | TickerSCATEC ASA — Cash Flow
XOSL:SCATC · OSLO BORS
| FY24 | FY23 | FY22 | FY21 | FY20 | YoY | Trend |
|---|
| Operating Activities |
| Profit Before Tax | £1.5B | £1.0B | -£1.1B | £759.0M | -£238.0M | +45.2% | |
| Investing Activities |
| Net Cash from Investing | -£1.6B | -£6.6B | -£1.4B | -£8.1B | -£1.7B | +76.0% | |
| Financing Activities |
| Share Issues | — | -£429.0M | — | £42.0M | £6.6B | — | |
| Dividends Paid | £395.0M | £35.0M | -£8.0M | £390.0M | £279.0M | +1028.6% | |
| Net Cash from Financing | -£1.1B | £3.3B | £221.0M | £2.4B | £5.0B | -132.4% | |
| Cash Movement |
| FX Adjustments | £340.0M | £78.0M | £389.0M | -£20.0M | £13.0M | +335.9% | |
Currency: NOKPeriods: 5
Source: Annual Reports