kr136.75
kr-5.10 (-3.73%)
End-of-day quote: 05/15/2024
CPSE:AMBU B

Ambu A/S Annual Report

Year Year 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005 2004
Rev. Revenue
kr4.78B kr4.44B kr4.01B kr3.57B kr2.82B kr2.61B kr2.36B kr2.08B kr1.89B kr1.58B kr1.38B kr1.05B kr982.81M kr939.69M kr876.93M kr784.45M kr715.02M kr715.86M kr653.91M kr608.10M
GM % Gross Margin %
56.82% 57.47% 62.37% 62.01% 58.05% 59.36% 56.52% 53.93% 50.87% 50.38% 49.10% 54.55% 55.55% 54.33% 52.52% 53.47% 52.32% 51.32% 52.14% 50.19%
OM Operating Margin
6.32% 2.75% 8.47% 12.00% 17.02% 21.64% 19.75% 17.18% 12.76% 12.50% 11.42% 14.45% 14.68% 12.59% 12.58% 11.96% 10.31% 11.55% 10.44% 8.24%
EPS Earnings Per Share
kr0.00 kr0.67 kr0.87 kr0.98 kr0.97 kr1.82 kr1.66 kr1.24 kr1.03 kr0.61 kr0.62 kr0.38 kr0.51 kr0.39 kr0.36 kr0.38 kr0.25 kr0.20 kr0.21 kr0.16 kr0.12
Div. Dividends
kr0.00 kr0.00 kr0.29 kr0.29 kr0.38 kr0.40 kr0.37 kr0.31 kr0.19 kr0.19 kr0.06 kr0.15 kr0.10 kr0.13 kr0.08 kr0.08 kr0.08 kr0.08 kr0.05 kr0.04
PR % Payout Ratio %
0.00% 0.00% 29.59% 29.90% 20.88% 24.10% 29.84% 30.10% 31.15% 30.65% 15.79% 29.41% 25.64% 36.11% 21.05% 32.00% 40.00% 38.10% 31.25% 33.33%
Sha. Shares
266.3m 254.07m 253.73m 247.91m 245.37m 243.54m 237.51m 235.03m 240.1m 237.99m 235.28m 233.09m 233.68m 234.89m 235.78m 235.78m 236.58m 234.78m 234.78m 200.46m
OCF Operating Cash Flow
kr518.00M kr95.00M kr328.00M kr295.00M kr533.00M kr554.00M kr462.00M kr369.00M kr208.00M kr183.00M kr122.00M kr158.00M kr102.07M kr98.66M kr113.02M kr84.47M kr89.49M kr98.72M kr40.13M kr54.77M
FCF Free Cash Flow
kr192.00M kr-458.00M kr-241.00M kr-133.00M kr274.00M kr321.00M kr303.00M kr285.00M kr104.00M kr103.00M kr-636.00M kr111.00M kr64.08M kr49.47M kr57.42M kr48.55M kr51.52M kr57.73M kr-18.20M kr-11.76M
FCFS Free Cash Flow Per Share
kr0.74 kr-1.82 kr-1.02 kr-0.55 kr1.11 kr1.31 kr1.28 kr0.95 kr0.43 kr0.39 kr0.26 kr0.48 kr0.25 kr0.13 kr0.24 kr0.15 kr0.15 kr0.25 kr-0.08 kr-0.05