Concordia Maritime AB (publ)

SSE:CCOR-B.ST

9.74 (SEK) • At close February 6, 2024
Overview | Financials

Numbers are in millions (except for per share data and ratios) SEK.

202220212020201920182017201620152014201320122011201020092008200720062005200420032002
Operating Activities:
Net Income 216.9-583.532.6-0.4-130.1-660.256.9174.316.5-39-369.476.276.9-9178.14852.557.2740.277.1-148.9
Depreciation & Amortization 157.2504.4244249.9186.9675.9237.2214.2150.5160.4578.2154.1129.99376.257.5340.566.1118.6187.7
Deferred Income Tax 000000000000000000000
Stock Based Compensation 000000000000000000000
Change In Working Capital 29.368.3300-86.9-27.461.117.7-14.8-36.2-87.7-22.665.5131.336.164.447.7-84.235.3-20.277-46.2
Accounts Receivables 17.3-8190.9-81.400000000000000000
Inventory 000000000000000000000
Accounts Payables 1276.3109.1-5.500000000000000000
Other Working Capital 000000000000000000000
Other Non Cash Items -281.145.6-273.6-100.8-145.7-30.6-67.13.8-45.22.7-18.30.83.9-248.97.47.3-78.1-670.1-23.7-9.9
Operating Cash Flow 122.334.830361.8-116.346.2244.7377.585.636.4167.9296.634236.1267.6160.69.614.9116249-17.3
Investing Activities:
Investments In Property Plant And Equipment -0.8-191.5-140.9-62.7-2.9-78-89.5-459.3-87.9-64.7-428.7-330.1-638.6-655.8-301.3-838.6-767.2-492.8000
Acquisitions Net 1,148.2487.4001.9307.40000000000093.47.100
Purchases Of Investments 000-14.2-106.3-281.3-256.800-34.3-65.8-570-0.8-52.20-238.3-386.7-148.200
Sales Maturities Of Investments 003.4124.3208.8321.10090.246.475.82794.734625.281.1198.313.7000
Other Investing Activites 0000.1-0.2-0.7826.20237.6005.4000001,544.81,548.4205.241.2
Investing Cash Flow 1,147.4295.9-137.547.5101.3268.5479.9-459.3239.9-52.6-418.7-354.7-543.9-310.6-328.3-757.5-807.2772.41,407.3205.241.2
Financing Activities:
Debt Repayment -828-105.2-239.3-1,067.6-99.6-403.9-2,352.2-227.5-434.9-154.5-5000-482.100-69.600-312.800
Common Stock Issued 000000000000000000000
Common Stock Repurchased 000000000000000000000
Dividends Paid 00000-23.9-23.900-23.9-47.7-47.7-47.70-47.7-47.7-47.7-143.2-23.90-27.8
Other Financing Activities -351.6-347.3-14.21,047.6-19.5-14.41,734.3438.7117.2156.2815.1165.2716.9140.690.4729.7611.2334.70-515-111
Financing Cash Flow -1,179.6-452.5-253.5-20-119.1-442.2-641.8211.2-317.7-22.2267.4117.5187.1140.642.7612.4563.5191.5-336.7-515-138.8
Other Information:
Effect Of Forex Changes On Cash 4.57.6-9.51216.8-35.1507.722.80-0.40.50.6-4.5-6.39.9-16.1135.8-103.5-14.1-32.9
Net Change In Cash 94.5-114.3-97.5101.3-117.2-162.7132.713730.6-38.416.259.9-14.251.2-24.325.4-250.2-8431,083.1-74.9-147.8
Cash At End Of Period 110.415.9130.2227.7126.4243.6406.3273.6136.6106144.4128.268.382.531.355.630.2280.41,123.440.3115.2