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HPURF Hexagon Purus ASA

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  • 0.675
  • -0.054-7.45%
15min DelayClose May 17 16:00 ET
187.47MMarket Cap-2947P/E (TTM)

Hexagon Purus ASA Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
(Q2)Jun 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
Net income from continuing operations
-8.16%-167.32M
-56.80%-691.31M
-40.70%-187.33M
-207.46%-199.4M
-21.43%-149.88M
-29.50%-154.7M
-23.96%-440.9M
-127.89%-133.15M
40.97%-64.85M
-47.69%-123.44M
Other non cash items
720.22%45.76M
----
----
998.68%4.16M
1,163.03%3.8M
974.95%5.58M
----
----
-85.47%379K
-118.56%-357K
Change In working capital
-501.34%-109.21M
-484.22%-219.76M
-83.17%21.69M
-161.71%-152.42M
1.45%-70.87M
-131.08%-18.16M
133.33%57.2M
418.98%128.92M
37.23%-58.24M
-49.59%-71.92M
-Change in receivables
----
-241.70%-47.73M
----
----
----
----
90.52%-13.97M
----
----
----
-Change in inventory
----
-110.58%-149.48M
----
----
----
----
-144.02%-70.98M
----
----
----
-Change in other current assets
----
322.25%29.17M
----
----
----
----
54.47%-13.12M
----
----
----
Cash from discontinued investing activities
Operating cash flow
-77.14%-211.28M
-119.15%-712.92M
-961.14%-138.23M
-113.54%-283.77M
-26.35%-171.64M
-64.21%-119.27M
28.86%-325.31M
136.79%16.05M
-6.50%-132.89M
2.47%-135.84M
Investing cash flow
Cash flow from continuing investing activities
Net PPE purchase and sale
-36.22%-129.56M
-84.41%-442.64M
-14.47%-104.92M
-99.77%-102.09M
-194.06%-140.54M
-92.18%-95.11M
-122.85%-240.03M
-199.00%-91.65M
-24.59%-51.1M
-90.61%-47.79M
Net intangibles purchase and sale
60.05%-4.04M
24.70%-39.63M
51.21%-9.25M
-54.80%-11.65M
34.20%-8.62M
22.51%-10.11M
-39.46%-52.63M
18.23%-18.95M
-1,671.19%-7.53M
2.22%-13.1M
Net business purchase and sale
--0
-177.23%-115M
--0
--0
-2,835.12%-115M
--0
73.08%-41.48M
95.44%-7.03M
---34.46M
---3.92M
Net other investing changes
----
----
----
0.00%1K
----
----
----
----
--1K
--1K
Cash from discontinued investing activities
Investing cash flow
-25.17%-132.28M
-76.64%-597.08M
6.14%-110.51M
-24.03%-116.62M
-314.75%-264.27M
-68.98%-105.68M
-13.46%-338.01M
42.93%-117.73M
-131.96%-94.03M
-65.64%-63.72M
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt
25.34%972.2M
6,552.21%756.91M
--0
-124.60%-911K
-534.47%-17.8M
5,787.59%775.62M
-5.70%-11.73M
42.18%-5.9M
474.90%3.7M
125.37%4.1M
Net common stock issuance
--0
-16.70%499.83M
321.36%25.85M
--0
---172K
-20.16%474.15M
--600M
--6.13M
--0
--0
Net other financing activities
210.88%32.22M
192.54%102.2M
--0
----
9,183,500.00%91.83M
--10.36M
--34.94M
--31.23M
185,300.00%3.71M
---1K
Cash from discontinued financing activities
Financing cash flow
-20.79%985.08M
117.07%1.26B
-268.80%-17.67M
-843.62%-21.29M
5,303.81%56.05M
116.79%1.24B
1,620.03%580.8M
174.98%10.47M
78.52%-2.26M
95.05%-1.08M
Net cash flow
Beginning cash position
-19.44%307.49M
-15.81%381.71M
17.76%566.46M
38.66%973.41M
53.55%1.37B
-15.81%381.71M
-63.62%453.4M
-32.95%481.03M
-21.31%702.02M
-18.45%889.86M
Current changes in cash
-37.03%641.52M
40.33%-49.24M
-192.07%-266.4M
-84.00%-421.68M
-89.33%-379.87M
132.32%1.02B
89.60%-82.53M
65.44%-91.21M
-30.35%-229.18M
-0.58%-200.64M
Effect of exchange rate changes
147.46%16.15M
-330.58%-24.98M
191.57%7.43M
80.16%14.73M
-202.35%-13.1M
-1,573.30%-34.04M
2,142.65%10.83M
-5,778.26%-8.11M
671.42%8.18M
2,439.68%12.8M
End cash Position
-29.36%965.16M
-19.44%307.49M
-19.44%307.49M
17.76%566.46M
38.66%973.41M
53.55%1.37B
-15.81%381.71M
-15.81%381.71M
-32.95%481.03M
-21.31%702.02M
Free cash flow
-53.62%-344.87M
-93.41%-1.2B
-166.94%-252.39M
-107.56%-397.51M
-63.06%-320.79M
-66.08%-224.49M
-2.52%-617.97M
2.98%-94.55M
-15.85%-191.52M
-10.68%-196.73M
Currency Unit
NOK
NOK
NOK
NOK
NOK
NOK
NOK
NOK
NOK
NOK
(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022(Q2)Jun 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
Net income from continuing operations -8.16%-167.32M-56.80%-691.31M-40.70%-187.33M-207.46%-199.4M-21.43%-149.88M-29.50%-154.7M-23.96%-440.9M-127.89%-133.15M40.97%-64.85M-47.69%-123.44M
Other non cash items 720.22%45.76M--------998.68%4.16M1,163.03%3.8M974.95%5.58M---------85.47%379K-118.56%-357K
Change In working capital -501.34%-109.21M-484.22%-219.76M-83.17%21.69M-161.71%-152.42M1.45%-70.87M-131.08%-18.16M133.33%57.2M418.98%128.92M37.23%-58.24M-49.59%-71.92M
-Change in receivables -----241.70%-47.73M----------------90.52%-13.97M------------
-Change in inventory -----110.58%-149.48M-----------------144.02%-70.98M------------
-Change in other current assets ----322.25%29.17M----------------54.47%-13.12M------------
Cash from discontinued investing activities
Operating cash flow -77.14%-211.28M-119.15%-712.92M-961.14%-138.23M-113.54%-283.77M-26.35%-171.64M-64.21%-119.27M28.86%-325.31M136.79%16.05M-6.50%-132.89M2.47%-135.84M
Investing cash flow
Cash flow from continuing investing activities
Net PPE purchase and sale -36.22%-129.56M-84.41%-442.64M-14.47%-104.92M-99.77%-102.09M-194.06%-140.54M-92.18%-95.11M-122.85%-240.03M-199.00%-91.65M-24.59%-51.1M-90.61%-47.79M
Net intangibles purchase and sale 60.05%-4.04M24.70%-39.63M51.21%-9.25M-54.80%-11.65M34.20%-8.62M22.51%-10.11M-39.46%-52.63M18.23%-18.95M-1,671.19%-7.53M2.22%-13.1M
Net business purchase and sale --0-177.23%-115M--0--0-2,835.12%-115M--073.08%-41.48M95.44%-7.03M---34.46M---3.92M
Net other investing changes ------------0.00%1K------------------1K--1K
Cash from discontinued investing activities
Investing cash flow -25.17%-132.28M-76.64%-597.08M6.14%-110.51M-24.03%-116.62M-314.75%-264.27M-68.98%-105.68M-13.46%-338.01M42.93%-117.73M-131.96%-94.03M-65.64%-63.72M
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt 25.34%972.2M6,552.21%756.91M--0-124.60%-911K-534.47%-17.8M5,787.59%775.62M-5.70%-11.73M42.18%-5.9M474.90%3.7M125.37%4.1M
Net common stock issuance --0-16.70%499.83M321.36%25.85M--0---172K-20.16%474.15M--600M--6.13M--0--0
Net other financing activities 210.88%32.22M192.54%102.2M--0----9,183,500.00%91.83M--10.36M--34.94M--31.23M185,300.00%3.71M---1K
Cash from discontinued financing activities
Financing cash flow -20.79%985.08M117.07%1.26B-268.80%-17.67M-843.62%-21.29M5,303.81%56.05M116.79%1.24B1,620.03%580.8M174.98%10.47M78.52%-2.26M95.05%-1.08M
Net cash flow
Beginning cash position -19.44%307.49M-15.81%381.71M17.76%566.46M38.66%973.41M53.55%1.37B-15.81%381.71M-63.62%453.4M-32.95%481.03M-21.31%702.02M-18.45%889.86M
Current changes in cash -37.03%641.52M40.33%-49.24M-192.07%-266.4M-84.00%-421.68M-89.33%-379.87M132.32%1.02B89.60%-82.53M65.44%-91.21M-30.35%-229.18M-0.58%-200.64M
Effect of exchange rate changes 147.46%16.15M-330.58%-24.98M191.57%7.43M80.16%14.73M-202.35%-13.1M-1,573.30%-34.04M2,142.65%10.83M-5,778.26%-8.11M671.42%8.18M2,439.68%12.8M
End cash Position -29.36%965.16M-19.44%307.49M-19.44%307.49M17.76%566.46M38.66%973.41M53.55%1.37B-15.81%381.71M-15.81%381.71M-32.95%481.03M-21.31%702.02M
Free cash flow -53.62%-344.87M-93.41%-1.2B-166.94%-252.39M-107.56%-397.51M-63.06%-320.79M-66.08%-224.49M-2.52%-617.97M2.98%-94.55M-15.85%-191.52M-10.68%-196.73M
Currency Unit NOKNOKNOKNOKNOKNOKNOKNOKNOKNOK

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