Cashflow Statement

(Figures in 1000s of NOK)Note20242023
Cash flows from operations
Profit before tax4 099 4471 896 360
Taxes paid-589-177
Ordinary depreciation2, 65 2472 745
Gain/loss (-) on sales125 964-467 210
Reversal of write-down (-) / Write-down investment projects585 494460 316
Differences in expensed pensions and receipts/disbursements, pension plan-7582 429
Effect of exchange rate changes-2 239 847-305 924
Disbursements for purchase of fixed assets2, 6-4 520-14 218
Change in other accruals-417 955-107 304
Net disbursements of grant capital 15-15 782-22 650
Net cash flow from operations2 136 7001 444 367
Cash flows from investment activities
Proceeds of sales/reflows from shares/holdings459 105812 790
Disbursements – acquisition of shares/interests in other enterprises-3 628 407-4 088 352
Disbursements – investment loans-2 906 955-3 360 092
Receipts – repayment of principal, investment loans1 912 6321 607 258
Changes liquidity placements13566 738356 052
Net cash flow from investments-3 596 887-4 672 343
Cash flow from financing activities
Receipts – grant resources carried as current liabilities1510 00029 500
Increase in/repayment of equity102 928 1522 678 152
Net cash flow from financing activities2 938 1522 707 652
Net change in cash and cash equivalents1 477 965-520 324
Bank deposits, cash and cash equivalents at 01.014 979 2895 499 614
Bank deposits, cash and cash equivalents at 31.12146 457 2544 979 289
Liquidity placements 31.12138 356 8808 081 447
Total liquidity (bank and liquidity placements) 31.1214 814 13413 060 735