kr578.00
kr-4.00 (-0.69%)
End-of-day quote: 05/16/2024
CPSE:SCHO

Aktieselskabet Schouw 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
kr37.21B kr32.64B kr24.22B kr21.27B kr20.95B kr18.25B kr17.03B kr14.37B kr12.57B kr11.78B kr11.64B kr11.16B kr11.07B kr9.45B kr8.44B kr9.82B kr8.15B kr7.37B kr3.73B kr3.38B
GM % Gross Margin %
7.59% 7.04% 8.99% 16.58% 16.09% 16.30% 16.67% 16.82% 15.49% 14.52% 14.43% 15.68% 17.12% 17.69% 17.53% 17.81% 20.78% 21.37% 26.56% 28.54%
OM Operating Margin
4.77% 4.19% 5.51% 6.46% 5.47% 5.74% 6.42% 7.22% 6.61% 6.00% 5.41% 6.07% 5.87% 3.80% 2.08% 3.13% 5.39% 6.16% 5.31% 6.04%
EPS Earnings Per Share
kr0.00 kr39.76 kr40.58 kr43.12 kr38.00 kr38.27 kr33.35 kr36.63 kr56.41 kr27.38 kr18.02 kr36.11 kr19.93 kr14.00 kr-5.12 kr1.38 kr-26.96 kr6.75 kr4.93 kr4.17 kr3.40
Div. Dividends
kr16.00 kr15.00 kr15.00 kr14.00 kr14.00 kr13.00 kr13.00 kr12.00 kr10.00 kr8.00 kr6.00 kr5.00 kr4.00 kr3.00 kr3.00 kr3.00 kr3.00 kr3.00 kr1.50 kr1.00
PR % Payout Ratio %
40.24% 36.96% 34.79% 36.84% 36.58% 38.98% 35.49% 21.27% 36.52% 44.40% 16.62% 25.09% 28.57% -58.59% 217.39% -11.13% 44.44% 60.85% 35.97% 29.41%
Sha. Shares
23.46m 23.42m 23.97m 23.98m 23.96m 23.69m 23.97m 23.74m 23.59m 23.49m 23.88m 23.56m 23.49m 23.88m 25.15m 26.24m 23.08m 23.38m 23.63m 23.6m
OCF Operating Cash Flow
kr1.78B kr319.00M kr531.00M kr2.30B kr1.41B kr837.00M kr763.00M kr1.60B kr1.17B kr627.70M kr1.10B kr775.60M kr377.30M kr806.30M kr1.19B kr274.80M kr342.10M kr420.30M kr275.70M kr242.60M
FCF Free Cash Flow
kr1.34B kr-782.00M kr-220.00M kr1.80B kr618.00M kr122.00M kr-50.30M kr769.80M kr816.80M kr395.20M kr321.90M kr519.90M kr-145.90M kr-39.90M kr985.00M kr-125.00M kr-24.50M kr-116.40M kr-205.90M kr-53.60M
FCFS Free Cash Flow Per Share
kr38.72 kr-33.27 kr-11.18 kr74.83 kr25.47 kr4.93 kr-2.85 kr31.66 kr32.02 kr16.15 kr30.76 kr20.56 kr-8.50 kr11.93 kr36.65 kr-4.87 kr-1.05 kr-6.04 kr-9.54 kr-4.43