Breakdown | ||||
Dec 2024 | Dec 2023 | Dec 2022 | Dec 2021 | Dec 2020 |
---|---|---|---|---|
Income Statement | Total Revenue | |||
65.87B | 59.73B | 94.64B | 107.81B | 87.19B | Gross Profit |
65.87B | 138.16B | 94.64B | 107.81B | 87.19B | EBIT |
18.47B | 17.38B | 12.90B | 12.17B | 8.91B | EBITDA |
23.46B | 13.38B | 19.02B | -4.45B | -4.07B | Net Income Common Stockholders |
11.69B | 10.97B | 9.85B | 9.49B | 7.07B |
Balance Sheet | Cash, Cash Equivalents and Short-Term Investments | |||
786.01B | 408.22B | 330.49B | 358.04B | 317.08B | Total Assets |
2.70T | 2.59T | 2.67T | 2.63T | 2.49T | Total Debt |
379.89B | 673.44B | 625.71B | 718.22B | 687.29B | Net Debt |
-308.05B | -408.22B | 151.66B | 233.95B | 274.71B | Total Liabilities |
2.57T | 2.46T | 2.55T | 2.52T | 2.38T | Stockholders Equity |
128.14B | 123.74B | 109.99B | 108.68B | 102.85B |
Cash Flow | Free Cash Flow | |||
-99.51B | -36.46B | 21.28B | 26.18B | 4.43B | Operating Cash Flow |
-97.38B | -34.24B | 23.81B | 27.84B | 5.21B | Investing Cash Flow |
-180.00M | -33.16B | -78.81B | 13.35B | 133.27B | Financing Cash Flow |
-6.42B | -4.68B | 9.25B | 14.52B | 18.52B |
BNP Paribas has announced the early redemption of its NOK 800,000,000 Floating Rate Subordinated Notes originally due in 2030. The redemption will occur on February 21, 2025, at a price of 100%, reflecting the company’s strategic financial management and potential impact on its liquidity and capital structure.