Toggle navigation
SBM OFFSHORE
SBM OFFSHORE
Annual Report 2018
My report
At a Glance
Strategy and Performance
Governance
Financial Statements 2018
Non-Financial Data
Other Information
Home
>
Financial Statements 2018
>
Notes to the Company Financial Statements
>
Cash and Cash Equivalents
Add to my PDF
Download as PDF
See sub navigation
4.1
Financial Review
4.2
Consolidated Financial Statements
4.3
Notes to the Consolidated Financial Statements
4.4
Company Financial Statements
4.5
Notes to the Company Financial Statements
4.5.1
Investment in Group Companies
4.5.2
Deferred Tax Asset
4.5.3
Other Receivables
4.5.4
Cash and Cash Equivalents
4.5.5
Shareholders Equity
4.5.6
Other Current and Non-Current Liabilities
4.5.7
Revenue
4.5.8
General and Administrative Expenses
4.5.9
Financial Expenses
4.5.10
Income Tax Expense
4.5.11
Commitments and Contingencies
4.5.12
Directors Remuneration
4.5.13
Number of Employees
4.5.14
Independent Audit Fees
4.5.15
Events After End of Reporting Period
4.6
Other information
4.7
Key Figures
4.5.4
Cash and Cash Equivalents
Cash and cash equivalents are at SBM Offshore N.V.’s free disposal.
Download full report