Aker BP ASA (AKRBP): Kapitalflussrechnung
| Preis (11.09.2026) | 52W Hoch | 52W Tief |
| 360,4 Norwegische Krone | 370 Norwegische Krone | 221,675 Norwegische Krone |
| Analysten Konsens | Buy | Outperform | Hold | Underperform | Sell |
| 330,941 Norwegische Krone | - | - | - | - | - |
| #Shares | Short [%] | Short Ratio |
| 630.731.151 | - | - |
Kennzahl in 1000 USD | 2025-12-31 | 2024-12-31 | 2023-12-31 | 2022-12-31 | 2021-12-31 | 2020-12-31 | 2019-12-31 | 2018-12-31 | 2017-12-31 | 2016-12-31 | 2015-12-31 | 2014-12-31 | 2013-12-31 | 2012-12-31 | 2011-12-31 | 2010-12-31 | 2009-12-31 | 2008-12-31 | 2007-12-31 | 2006-12-31 | 2005-12-31 |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
Umsatz | 10.943.100 | 12.242.700 | 13.580.000 | 12.896.200 | 5.639.990 | 2.868.153 | 3.338.667 | 3.713.021 | 2.575.654 | 1.260.804 | 1.158.684 | 411.996 | 158.782 | 58.227,419 | 60.610,843 | 61.595,706 | 44.027,127 | 46.859,099 | 23.463,616 | 18.613,493 | 13.880,18 |
Cashflow aus operativer Geschäftstätigkeit | 6.958.200 | 6.422.600 | 5.407.100 | 5.729.500 | 4.282.157 | 1.857.053 | 1.885.146 | 3.799.570 | 2.155.491 | 895.652 | 686.467 | 262.791 | 150.569,585 | 254.160,905 | 243.374,212 | 260.554,015 | -33.098,474 | 32.827,154 | 55.973,355 | -13.639,197 | -7.979,388 |
▸ Operative Cashflow Marge | 63,59% | 52,46% | 39,82% | 44,43% | 75,92% | 64,75% | 56,46% | 102,33% | 83,69% | 71,04% | 59,25% | 63,78% | 94,83% | 436,5% | 401,54% | 423,01% | -75,18% | 70,06% | 238,55% | -73,28% | -57,49% |
Investitionsausgaben (CapEx) | 7.175.400 | 5.112.400 | 3.410.200 | 1.831.809 | 1.554.343 | 1.405.152 | 2.073.541 | 1.904.541 | 1.089.186 | 1.117.247 | 1.030.201 | 747.328 | 469.389,735 | 714.452,747 | 306.422,061 | 367.868,139 | 128.459,435 | 90.534,851 | 35.730,246 | 11.165,622 | 9.917,254 |
Cashflow aus Investitionstätigkeit | -7.506.000 | -5.315.000 | -3.467.900 | -3.116.600 | -1.726.855 | -1.500.710 | -2.178.431 | -2.147.086 | -3.058.994 | -705.494 | -1.168.310 | -2.266.144 | -461.212,144 | -640.362,626 | -287.902,593 | -384.024,222 | -128.404,041 | 112.269,76 | -67.119,993 | -11.165,783 | -9.917,254 |
Cashflow aus Finanzierungstätigkeit | -1.352.900 | -284.200 | -1.308.500 | -1.828.300 | -1.122.640 | 74.219 | 355.782 | -1.837.829 | 1.018.410 | -163.312 | 284.683 | 2.023.684 | 401.898,671 | 442.189,011 | 53.285,417 | -10.050,69 | 102.503,041 | -18.445,726 | -31.673,833 | 98.581,044 | 33.709,349 |
Freier Cashflow | -217.200 | 1.310.200 | 1.996.900 | 3.897.691 | 2.727.814 | 451.901 | -188.395 | 1.895.029 | 1.066.305 | -221.595 | -343.734 | -484.537 | -318.820,15 | -460.291,842 | -63.047,849 | -107.314,124 | -161.557,908 | -57.707,697 | 20.243,109 | -24.804,819 | -17.896,641 |
▸ Freie Cashflow Marge | -1,98% | 10,7% | 14,7% | 30,22% | 48,37% | 15,76% | -5,64% | 51,04% | 41,4% | -17,58% | -29,67% | -117,61% | -200,79% | -790,51% | -104,02% | -174,22% | -366,95% | -123,15% | 86,27% | -133,26% | -128,94% |
Ausgeschüttete Dividenden | -1.592.700 | -1.516.900 | -1.390.400 | -1.005.700 | -487.500 | -425.000 | -750.000 | -450.000 | -250.000 | -62.500 | - | - | - | - | - | - | - | - | - | - | - |
Neuausgabe und Rückkäufe von Stammaktien | -5.600 | 17.000 | -10.500 | 1.524 | -8.595 | -28 | - | - | 489.436 | - | - | - | - | - | - | - | -1.035,384 | - | - | - | - |
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