37.78€
0.00€ (0.00%)
End-of-day quote: 05/24/2024
HLSE:HUH1V

Huhtamäki Oyj 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
4.17€B 4.48€B 3.57€B 3.30€B 3.40€B 3.10€B 2.99€B 2.87€B 2.73€B 2.24€B 2.16€B 2.32€B 2.04€B 1.95€B 1.83€B 2.26€B 2.31€B 2.28€B 2.23€B 2.09€B
GM % Gross Margin %
18.08% 16.46% 16.86% 17.77% 17.15% 15.23% 17.21% 18.06% 17.27% 15.61% 15.58% 16.03% 15.33% 16.39% 16.64% 10.71% 12.41% 14.97% 15.71% 16.19%
OM Operating Margin
8.08% 8.23% 8.35% 8.84% 8.26% 6.60% 9.05% 9.16% 8.47% 7.43% 6.98% 6.66% 6.25% 6.71% 6.21% 1.64% 3.02% 6.22% 6.86% 6.96%
EPS Earnings Per Share
0.00€ 2.32€ 2.49€ 2.07€ 1.95€ 1.88€ 1.70€ 1.90€ 1.83€ 1.65€ 1.24€ 1.21€ 1.21€ 0.87€ 0.92€ 0.85€ -0.04€ 0.87€ 1.06€ 1.11€ 0.90€
Div. Dividends
1.05€ 1.00€ 0.94€ 0.92€ 0.89€ 0.84€ 0.80€ 0.73€ 0.66€ 0.60€ 0.57€ 0.56€ 0.46€ 0.44€ 0.38€ 0.34€ 0.42€ 0.42€ 0.38€ 0.38€
PR % Payout Ratio %
45.26% 40.16% 45.41% 47.18% 47.34% 49.41% 42.11% 39.89% 40.00% 48.39% 47.11% 46.28% 52.87% 47.83% 44.71% -850.00% 48.28% 39.62% 34.23% 42.22%
Sha. Shares
104.54m 104.36m 104.36m 104.35m 104.35m 104.33m 104.11m 103.86m 103.7m 103.55m 103.38m 102.61m 101.47m 101.24m 101m 100.43m 100.43m 100.43m 98.78m 98.34m
OCF Operating Cash Flow
578.20€M 321.40€M 222.70€M 428.60€M 426.40€M 273.70€M 256.70€M 297.50€M 237.70€M 178.90€M 173.90€M 190.20€M 146.20€M 191.30€M 255.00€M 170.90€M 105.80€M 139.10€M 168.50€M 166.60€M
FCF Free Cash Flow
218.50€M 2.90€M -36.70€M 205.10€M 222.50€M 56.10€M 41.90€M 100.00€M 90.80€M 51.90€M 52.90€M 96.70€M 64.90€M 105.50€M 202.00€M 96.60€M -42.10€M -14.90€M 55.10€M 72.60€M
FCFS Free Cash Flow Per Share
2.48€ 0.03€ -0.35€ 1.97€ 2.13€ 0.74€ 0.40€ 0.95€ 0.88€ 0.50€ 0.51€ 0.95€ 0.63€ 1.04€ 2.01€ 0.96€ -0.42€ -0.15€ 0.56€ 0.75€