Sparebanken Øst

OSE:SPOG.OL

47.4 (NOK) • At close November 17, 2023
Overview | Financials

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

2023202220212020201920182017201620152014201320122011201020092008
Operating Activities:
Net Income 117.6381.9454.7533.6424.8450.9432.4427.4339.7533.1388.9362.1210.5380.3401.4-508.8
Depreciation & Amortization 2927.227.326.725.713.717.928.717.919.817.900000
Deferred Income Tax 0000000000000000
Stock Based Compensation 0000000000000000
Change In Working Capital 532,203.1-1,882.4-1,221-866.6-3,859.3-1,480.5-779.3-83.1-2,671.7-1,391.61,157.6-2,178.7-2,132.3477.1-111.5
Accounts Receivables 12.1000000000000000
Inventory 0000000000000000
Accounts Payables 0000000000000000
Other Working Capital -1,157.4000000000000000
Other Non Cash Items 323.2-114.9-96-94.6-71.2-88.8-129.9-129.6-149.5-241.4-88.2-36.7-55.7-72.619.3254.3
Operating Cash Flow 522.82,497.3-1,496.4-755.3-487.3-3,497.2-1,160.1-452.8125-2,360.2-1,0731,483-2,023.9-1,824.6897.8-366
Investing Activities:
Investments In Property Plant And Equipment -22.8-24.6-21.8-33.5-19-20-21.1-63.9-87.8-20.6-17.2-70.4-243.4-75.1-12.2-50
Acquisitions Net 0.91.91.172.10.392.1186.71.2250.40000000
Purchases Of Investments -278.4-15-451.5-19.9-18.3-776.9-233.3-48.9-650.30000000
Sales Maturities Of Investments 6.233.76.4-72.1-0.30206.52781.10000000
Other Investing Activites -1,049.7-0.1451.572.10.369393.210.9251.5256.9115.964.9100.6-43.9220.7-54.2
Investing Cash Flow -1,343.8-4.1-14.318.7-3749372.1-53163.7236.398.7-5.5-142.8-119208.5-104.2
Financing Activities:
Debt Repayment -737.9-5,179.5-2,854.5-4,064.9-3,609.9-2,668-3,248-4,446.4-3,096.6-2,827.6-3,704.2-4,004.60-58.800
Common Stock Issued 000006,502.40000000000
Common Stock Repurchased -200.700000000000-2,840000
Dividends Paid -78.8-79.8-93.3-74.6-95.4-103.7-82.9-68.4-103.7-62.2-62.2-41.50-82.90-54.6
Other Financing Activities 1,5692,9554,349.24,980.43,935.3-16.84,144.44,955.92,808.75,136.63,9032,083.75,065.72,671.4-1,742.8984.8
Financing Cash Flow 752.3-2,304.31,401.4840.92303,713.9813.5441.1-391.62,246.8136.6-1,962.42,225.72,529.7-1,742.8930.2
Other Information:
Effect Of Forex Changes On Cash -0.100.10.2000000000000
Net Change In Cash -68.7188.9-109.2104.5-294.3265.725.5-64.7-102.9122.9-837.7-484.959586.1-636.5460
Cash At End Of Period 433.8502.5313.6422.8318.3612.6346.9321.4386.1489366.11,203.81,688.71,629.71,043.61,680.1