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Asset logo for symbol SFL
SFL Corporation Ltd
SFL64
$8.46arrow_drop_up2.23%$0.18
High Dividend
Asset logo for symbol SFL
SFL64

$8.46

arrow_drop_up2.23%

Income Statement (SFL)

itemSep 2024Jun 2024Mar 2024Dec 2023Sep 2023
EBIT$97.55M-$80.25M$85.49M$16.22M$69.23M
EBITDA$161.45M-$19.97M$142.36M$74.30M$126.46M
gross Profit$96.99M$67.59M$90.95M$76.80M$66.51M
NET Income$44.52M$20.63M$45.30M$31.36M$29.30M
total Revenue$253.24M$190.91M$229.06M$209.57M$204.88M

Balance Sheet (SFL)

itemSep 2024Jun 2024Mar 2024Dec 2023Sep 2023
cash Equivalents----$118.02M
net Debt$2.65B$2.48B$2.44B$2.40B$2.38B
stockholders Equity$1.13B$1.03B$1.05B$1.03B$1.04B
total Assets$4.09B$3.86B$3.77B$3.73B$3.67B
total Debt$2.82B$2.67B$2.61B$2.56B$2.49B
total Liabilities$2.96B$2.83B$2.72B$2.69B$2.62B

Cash Flow (SFL)

itemSep 2024Jun 2024Mar 2024Dec 2023Sep 2023
financing Cash Flow$202.63M$9.06M$20.01M$26.77M-$106.52M
free Cash Flow-$225.08M$2.33M-$27.08M$17.29M-$34.40M
investing Cash Flow-----$43.66M
operating Cash Flow$80.60M$124.42M$63.00M$80.92M$31.20M

SFL Corporation Ltd (SFL) Financials

Ship Finance International Ltd (SFL) is a global leader in the ownership and operation of vessels used in the shipping industry. The company's financials reflect its strong position in the market and its ability to generate substantial revenue and profits. The income statement for SFL provides an overview of the company's financial performance over a specific period, showing the revenue earned, expenses incurred, and net income generated. In terms of profitability, SFL's gross profit is a significant indicator of its ability to generate profits from its core operations. SFL's net income from stockholders represents the earnings available to investors after all expenses and taxes have been paid.
SFL's total revenue is a key metric that reflects the company's ability to generate income from its operations. It includes revenue from chartering and sales of vessels, as well as other sources. The balance sheet provides a snapshot of SFL's financial position at a specific point in time, showing its assets, liabilities, and stockholders' equity. Cash equivalents refer to highly liquid and short-term investments that can be easily converted into cash. SFL's net debt represents the amount of debt the company has after deducting its cash and cash equivalents.
SFL's stockholders' equity represents the value of the company that belongs to its shareholders. It is calculated by deducting the company's total liabilities from its total assets. The total assets of SFL include its cash and cash equivalents, investments, vessels, and other assets. On the other hand, total debt represents the amount of money that the company owes to its creditors. This includes both short-term and long-term debt. SFL's total liabilities represent the company's obligations and include both its short-term and long-term liabilities.
SFL's cash flow provides insights into the company's cash generation and usage during a specific period. It includes cash flows from operating activities, investing activities, and financing activities. Financing cash flow reflects the cash inflows and outflows related to the company's financing activities, such as issuing or repurchasing its own shares or borrowing or repaying debt. Investing cash flow represents the cash flows related to the company's investments in assets or businesses. Operating cash flow shows the cash flows generated or used in SFL's day-to-day operations. Lastly, free cash flow is a measure of the cash that SFL has left after meeting its capital expenditures and operating expenses.
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