SFL Corporation Ltd.

NYSE:SFL

11.29 (USD) • At close September 19, 2024
Overview | Financials

Cijfers zijn in miljoenen (behalve de cijfers per aandeel en de ratio's) USD.

20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001
Operationele Activiteiten:
Nettowinst 83.937202.768164.343-224.42589.17773.622101.209146.406200.832122.81589.206185.836131.175165.712192.598181.611167.707180.798209.546262.659334.81218.024212.01
Afschrijvingen & Amortisatie 214.062198.318151.706126.96129.769115.51895.914103.94178.0876.68358.43658.81954.24336.29735.74331.81523.99414.4919.90734.617106.01596.7730
Uitgestelde Inkomstenbelasting -1.6-1.4-1-0.9-0.8000000-95.305-195.13-78.504000000000
Aandelen Gebaseerde Vergoedingen 1.61.410.90.80.40.40.40000.5691.4080.953000000000
Verandering in Werkkapitaal 26.171-12.993-6.27115.3-0.35.1263.509-2.19912.288-19.55840.28-61.28736.95314.913-1.093-14.12539.15624.5353.643-117.634-5.211-1.7650
Vorderingen -24.068-9.033-4.073-2.352-1.6089.607-9.034-1.4921.1965.109-4.313-7.7870.8640.799-1.438-0.4071.2533.987.181-0.256-0.47200
Voorraden 4.666-6.271-1.315-0.8730.613-3.423-0.042-0.027-2.529-0.32-3.656-0.097-0.744-0.390.1580.0150.0640.3523.191-112.5924.54-10.7180
Crediteuren 22.3726.1180.447-2.1981.52.37-0.7420.394-1.572-1.0952.0470.7740.2320.441-0.011-0.078-0.436-0.445-1.2910.18-0.53900
Overig Werkkapitaal 23.201-3.807-1.3320.723-0.805-3.42813.327-1.07415.193-23.25246.202-54.17736.60114.0630.198-13.65538.27520.64344.562-4.966-8.748.9530
Overige Niet-Contante Posten 17.319-32.968-16.183358.6431.0616.709-22.836-18.075-32.799-47.539-47.798-2.062135.01214.4-101.72612.085-28.441-26.321-2.262-1.114-20.0932.62695.157
Kasstroom uit Operationele Activiteiten 343.089355.125293.595276.475249.707200.975177.796230.073258.401132.401140.12486.57163.661153.771125.522211.386202.416193.497280.834178.528415.523115.658307.167
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -264.418-602.499-581.622-120.046-39.326-1,137.703-81.664-188.142-496.661-395.197-109.337-167.548-307.785-191.311-71.468-82.595-586.942-342.356-309.572-8.370-249.2910
Netto Overnames 156.22.9169.99846.14315.92583.48527.322193.517111.09588.5850157.17637.04806824.85-0.091-35.318-518.182-536.793-70.045-7.490
Aankoop van Beleggingen -0.2750-1.312195.259-18.198-24.161-4.016-25.488-20.722-7.877-18.14-13.89-73.7630-0.92-553.428-210-300000
Verkoop/verval van Beleggingen 2.91917.162185.19815.66182.78333.486110.7368571.681250.426072.461261.576174.946209.368210.348174.185137.26800000
Overige Investeringsactiviteiten 1.6883.333-1.31239.322-211.065187.654-4.016-25.488128.82542.12353.495-13.8977.06293.342219.088-33.12244.071132.7558.181622.11118.413-4.998-271.85
Kasstroom uit Investeringsactiviteiten -103.894-499.088-389.05176.339-169.881-866.56448.36239.399-205.782-21.94-73.98234.309-5.86276.977424.068-433.945-378.777-110.706-269.57376.948-51.632-261.779-271.85
Financieringsactiviteiten:
Schuldaflossingen -96.039-662.514-21.314-362.526-352.95-887.632-253.033-104.2-459.493-41.587-784.318-346.47-417.977-1,067.957-446.061-251.451-265.43-190.716-1,253.503-1,099.707-178.236-126.7130
Uitgifte van Gewone Aandelen 0089.2861.485000.0880.3230.6750.927128.8889.59600000312.5881,571.42924.696000
Terugkoop van Gewone Aandelen -10.1740-215.098000302.1040595.3050704.899257.61900000-7.212-33.083-14.713000
Uitgekeerde Dividenden -122.992-111.574-77.552-109.394-150.659-149.261-152.907-168.289-162.594-152.142-109.114-152.008-122.644-117.235-75.567-122.937-159.335-149.123-148.863-78.905000
Overige Financieringsactiviteiten -32.86952.45381.25540.488414.4051,761.824-31.74-4.776-7.155-7.729-8.39-3.989390.77957.22510.149564.767614.812-16.616-143.577942.346-179.77267.427-24.549
Kasstroom uit Financieringsactiviteiten -262.065178.36525.017-431.432-89.204724.931-135.488-277.265-33.262-118.284-68.043-155.252-149.851-227.967-511.479190.379190.047-51.079-7.597-226.283-358.006140.714-24.549
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 00000000000000000000000
Netto Kasstroomverandering -22.8734.402-70.43821.382-9.37859.34290.67-7.79319.357-7.823-1.901-34.3737.9482.78138.111-32.1813.68631.7123.66429.1935.885-5.40710.768
Kaspositie aan het Einde van de Periode 165.492188.362153.96224.398203.016212.394153.05262.38270.17550.81858.64160.54294.91586.96784.18646.07578.25564.56932.85729.19326.51920.63410.768