54.45€
-0.55€ (-1.01%)
End-of-day quote: 05/16/2024
HLSE:KCR

Konecranes Plc 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
3.97€B 3.36€B 3.19€B 3.18€B 3.33€B 3.16€B 3.14€B 2.12€B 2.13€B 2.01€B 2.10€B 2.17€B 1.90€B 1.55€B 1.67€B 2.10€B 1.75€B 1.48€B 970.82€M 728.00€M
GM % Gross Margin %
54.14% 55.26% 55.65% 53.66% 54.76% 56.53% 55.07% 53.75% 54.38% 53.37% 51.23% 50.98% 51.63% 56.06% 49.40% 47.53% 47.61% 46.36% 47.16% 51.46%
OM Operating Margin
10.81% 7.33% 7.26% 6.81% 4.49% 5.70% 3.55% 5.75% 4.83% 5.77% 4.84% 6.22% 5.84% 7.31% 6.07% 11.65% 9.98% 7.11% 5.04% 4.39%
EPS Earnings Per Share
0.00€ 3.80€ 2.34€ 2.80€ 2.01€ 1.95€ 1.77€ 1.42€ 1.22€ 1.05€ 1.32€ 1.20€ 1.53€ 1.22€ 1.35€ 1.43€ 2.82€ 1.92€ 1.07€ 0.63€ 0.41€
Div. Dividends
1.35€ 1.25€ 0.88€ 0.88€ 1.20€ 1.20€ 1.20€ 1.05€ 1.05€ 1.05€ 1.05€ 1.05€ 1.00€ 1.00€ 0.90€ 0.90€ 0.80€ 0.45€ 0.28€ 0.26€
PR % Payout Ratio %
35.53% 53.42% 31.43% 43.78% 61.54% 67.80% 84.51% 86.07% 100.00% 79.55% 87.50% 68.63% 81.97% 74.07% 62.94% 31.91% 41.67% 42.06% 44.44% 63.41%
Sha. Shares
79.2m 79.17m 79.13m 79.13m 78.84m 78.82m 78.76m 58.75m 58.73m 57.94m 57.83m 57.29m 57.2m 58.96m 58.81m 59.07m 58.51m 59.29m 57.1m 56.4m
OCF Operating Cash Flow
557.30€M 66.70€M 168.40€M 407.10€M 172.80€M 109.20€M 249.40€M 109.60€M 39.30€M 148.40€M 120.23€M 158.57€M -20.85€M 57.45€M 223.02€M 107.09€M 183.48€M 81.42€M 48.41€M 7.60€M
FCF Free Cash Flow
292.00€M 23.10€M 137.70€M 242.00€M 149.60€M 74.20€M 220.70€M 82.30€M 24.80€M 106.40€M 52.40€M 95.40€M -146.46€M 28.20€M 197.32€M 84.79€M 158.28€M 16.02€M 32.41€M -1.79€M
FCFS Free Cash Flow Per Share
6.38€ 0.28€ 1.62€ 4.59€ 1.68€ 0.90€ 2.82€ 1.40€ -0.07€ 1.84€ 1.08€ 1.73€ -1.26€ 0.48€ 3.28€ 1.44€ 2.70€ 1.10€ 0.62€ -0.03€