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TKM Grupp AS logo
TKM Grupp AS
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Financials

Cash flow

Fiscal date 2025 2024 2023 2022
Operating activities 65.6M 31.9M 40.3M 5.2M
Net income 17.5M 27.5M 37.4M 29.5M
Depreciation — — — —
Deferred taxes — — — —
StockBased compensation — — — —
Other non cash items 10.9M 12.4M 9.5M 5.2M
Accounts receivable 6.7M -4.7M 2.3M -6.5M
Accounts payable — — — —
Other assets liabilities -12.1M -3.2M -8.9M -22.9M
Investing activities — -31.6M -25.8M -14.8M
Capital expenditures — -31.6M -23.5M -15.0M
Net intangibles -1.5M -2M -1.9M -1.8M
Net acquisitions — 0 -2.3M 0
Purchase of investments — — — —
Sale of investments — — — —
Other investing activity — — — 133K
Financing activities -38.8M -21.4M -11.0M -17.4M
Long term debt issuance 18.2M 38.2M 47.8M 24.6M
Long term debt payments -22.0M -22.3M -17.9M -17.7M
Short term debt issuance -713K -2.6M -7.9M 7.9M
Common stock issuance — — — —
Common stock repurchase — — — —
Common dividends -26.5M -29.3M -27.7M -27.7M
Other financing charges -7.8M -5.3M -5.3M -4.5M
End cash position 29.5M 45.5M 42.1M 22.4M
Income tax paid — — — —
Interest paid — — — —
Free cash flow 40.7M 37.0M 56.1M 28.4M
Access the full /cash_flow historical dataset via the API — starting from the Pro plan (individual) and the Venture plan (business) and above.
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