TSAKOS ENERGY NAVIGATION LTDTEN

時価総額
PER
タンカー事業の大手。VLCC、Suezmaxなどの原油タンカー、シャトルタンカーとLNG船の運航を展開。普通株とシリーズE、FのNYSE上場、24年7月のティッカー変更、24年6月のSEC調査終了。世界主要海域、米国、欧州で展開。
2012年
12月31日
2013年
12月31日
2014年
12月31日
2015年
12月31日
2016年
12月31日
2017年
12月31日
2018年
12月31日
2019年
12月31日
2020年
12月31日
2021年
12月31日
2022年
12月31日
2023年
12月31日
2024年
12月31日
Net income-49-3934158569-1011427-151208305182
Depreciation------137129127127120123138
Amortization of deferred dry-docking costs and leasehold improvements---667-111016192120
Amortization of deferred finance costs1111244543444
Amortization of right of use assets for finance lease----------101
Amortization of assumed liabilities from time charters attached------------16
Amortization of revenue escalation-------------2
Stock based compensation expense------------8
Interest expense on long term receivable, net--------2-0-0-1-1
Interest income from debt securities, accrued------------0
Change in fair value of derivative instruments36-5954-101-812664
(Gain) Loss on sale of vessels (Note 4)-2--2--4-0--66-08149
Impairment charges (Note 4)1428---966282986-26-
Payments for dry-docking--------1627291925
Receivables and other, net9-51695-9169-20135-28-17
Margin deposits--------6-0-2--
Inventories-55-4-24-24-7913-4-4
Prepaid insurance and other-2-10-10-0-1-0105-33
Capitalized voyage expenses--------100-0-0
Payables and other1222-16-823-4-1221523-27-1213
Accrued liabilities-45345925-10-138-310
Unearned revenue-39-42-45-861-41766
Net Cash provided by Operating Activities611181072341701717418420553289395308
Advances for vessels under construction--130157110-1656405632135160
Vessel acquisitions and/or improvements-----------164490
Investments in debt securities-----------520
Proceeds from sale of vessels40--43-5217-945332166228
Net Cash used in Investing Activities-43-144-254-175-576-242-0-102-95-8-302-137-442
Proceeds from long-term debt and other financial liabilities84110159227778397353494349190701411411
Financing costs2133634431645
Payments of long-term debt and other financial liabilities157172120242412400509557384319494426226
Payments on principal portion of financial liabilities----------322
Redemption of Series D preferred shares--------50--88-
Redemption of Series B preferred shares-------50--320-
Proceeds from stock issuance program, net627176----1735344--
Proceeds from preferred stock issuance, net-94-82-11114434-240--
Cash dividends-102133404044494736446272
Net Cash provided by (used in) Financing Activities-49441872830473-56-105-137-90196-191106
Net (decrease) increase in cash and cash equivalents and restricted cash------18-23-26-4518267-28
Cash paid for interest net of amounts capitalized5744343035576871544149101109