126.90000 DKK
2.5
1.93%
Last update Dec 18, 3:57 PM GMT
Market closed
Day range
124.95000
127.70000
Previous close
129.39999
Open
127.70000
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TORM plc
126.90
2.50
1.93%

Financials

Cash flow

Fundamentals currency is USD
Fiscal date 2024 2023 2022 2021
Operating activities 5.9B 920.0M 567.5M 89.5M
Net income 3.9B 648.0M 562.6M -42.1M
Depreciation 1.2B 149.3M 139.0M 130.9M
Deferred taxes -12.8M 4.0M -5.9M 1.3M
StockBased compensation 192.7M 22.5M 2.2M 2.3M
Other non cash items 314.0M 46.6M 44.9M 42.1M
Accounts receivable 266.1M 45.2M -158.1M -37.5M
Accounts payable 50.4M 3.2M 4.7M 19.4M
Other assets liabilities -65.1M 1.2M -21.8M -26.9M
Investing activities -2.8B -370.0M 11.9M -290.6M
Capital expenditures -2.9B -343.3M -12.7M -309.8M
Net intangibles -7.0M -563K -618K 0
Net acquisitions 0 0 1.1M 0
Purchase of investments
Sale of investments
Other investing activity 68.9M -26.7M 23.5M 19.2M
Financing activities -2.4B -489.4M -337.6M 298.0M
Long term debt issuance 2.7B 676.4M 96.3M 548.8M
Long term debt payments -1.6B -585.4M -275.2M -253.4M
Short term debt issuance
Common stock issuance
Common stock repurchase 0 0
Common dividends -3.5B -586.4M -166.7M 0
Other financing charges 75.9M 6.0M 8.0M 2.6M
End cash position 1.9B 295.6M 323.8M 171.7M
Income tax paid
Interest paid
Free cash flow 1.6B 294.9M 382.0M -271.8M
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