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Orron Energy Ab ADR (LNEGY)

Orron Energy Ab ADR (LNEGY)
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Financial Summary for [[ item.sessionDateDisplayLong ]]
The Linde Group is an engineering company which supplies industrial, process and specialty gases worldwide. The Company's core operating segments consist of the gases and engineering division. The main gases produced by the Company are acetylene, carbon dioxide, nitrogen, hydrogen, shielding gases for welding applications, noble gases, calibration gas mixtures, high-purity gases and gas mixtures. It also supplies welding and safety products. Lindes's pharmaceutical and medical gas products and services find their use in clinical care, emergency care, and ventilation therapy and hospital infrastructure. The engineering division focuses on plant engineering for the production of hydrogen and synthesis gas, oxygen and olefins as well as plants for natural gas treatment. The Company's non core division the gist division operates in a wide range of commercial and industrial sectors including grocery, retail, electronics and gas. . The Linde Group is headquartered in Munich, Germany.

Fiscal Year End Date: 12/31

(Values in U.S. Thousands) Dec, 2016 Dec, 2015 Dec, 2014 Dec, 2013 Dec, 2012
Sales 18,754,660 19,925,020 22,660,580 22,122,840 19,651,609
Sales Growth -5.87% -12.07% +2.43% +12.58% +2.34%
Net Income 1,277,020 1,275,850 1,464,890 1,749,370 1,607,630
Net Income Growth +0.09% -12.90% -16.26% +8.82% -7.22%
(Values in U.S. Thousands) Dec, 2016 Dec, 2015 Dec, 2014 Dec, 2013 Dec, 2012
Total Assets 38,940,148 39,249,309 45,761,148 43,500,500 43,054,770
Total Assets Growth -0.79% -14.23% +5.20% +1.04% +6.91%
Total Liabilities 21,809,980 22,094,740 26,796,029 25,454,211 25,489,221
Total Liabilities Growth -1.29% -17.54% +5.27% -0.14% +9.12%
(Values in U.S. Thousands) Dec, 2016 Dec, 2015 Dec, 2014 Dec, 2013 Dec, 2012
Operating Cash Flow 3,806,700 3,989,670 3,989,230 4,176,180 3,243,540
Operating Cash Flow Growth -4.59% +0.01% -4.48% +28.75% -4.01%
Net Cash Flow 50,900 310,910 -54,500 -140,800 280,370
Change in Net Cash Flow -83.63% +670.48% +61.29% -150.22% +226.61%
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