19.20€
0.00€ (0.00%)
End-of-day quote: 04/26/2024
HLSE:KEMIRA

Kemira 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
3.39€B 3.57€B 2.68€B 2.43€B 2.66€B 2.60€B 2.49€B 2.37€B 2.38€B 2.14€B 2.23€B 2.24€B 2.21€B 2.17€B 1.98€B 2.84€B 2.83€B 2.52€B 1.99€B 1.70€B
GM % Gross Margin %
15.87% 15.30% 13.97% 17.06% 14.22% 11.69% 13.31% 14.17% 13.24% 11.00% 7.50% 9.68% 12.61% 13.08% 12.72% 9.94% 11.66% 11.42% 12.22% 15.17%
OM Operating Margin
9.93% 9.45% 6.37% 8.83% 7.27% 6.14% 5.65% 6.38% 6.16% 5.13% 2.34% 3.72% 6.91% 7.29% 6.11% 3.88% 5.54% 5.92% 5.89% 7.26%
EPS Earnings Per Share
0.00€ 1.87€ 1.57€ 0.99€ 0.96€ 0.87€ 0.71€ 0.66€ 0.72€ 0.63€ 0.63€ 0.70€ 0.77€ 0.88€ 0.73€ 0.74€ 0.26€ 0.79€ 0.64€ 0.56€ 1.08€
Div. Dividends
0.68€ 0.62€ 0.58€ 0.58€ 0.56€ 0.53€ 0.53€ 0.53€ 0.53€ 0.53€ 0.53€ 0.53€ 0.53€ 0.48€ 0.27€ 0.23€ 0.46€ 0.44€ 0.33€ 0.31€
PR % Payout Ratio %
36.36% 39.49% 58.59% 60.42% 64.37% 74.65% 80.30% 73.61% 84.13% 84.13% 75.71% 68.83% 60.23% 65.75% 36.49% 88.46% 58.23% 68.75% 58.93% 28.70%
Sha. Shares
153.62m 153.35m 153.13m 152.92m 152.65m 152.51m 152.35m 152.37m 152.06m 152.05m 152.04m 152.04m 152.03m 151.74m 151.49m 121.19m 121.19m 120.99m 120.71m 120.31m
OCF Operating Cash Flow
546.00€M 400.30€M 220.20€M 374.70€M 386.20€M 210.20€M 205.10€M 270.60€M 247.60€M 74.20€M 200.30€M 176.30€M 177.70€M 133.10€M 287.80€M 90.20€M 172.10€M 216.80€M 155.60€M 262.10€M
FCF Free Cash Flow
367.50€M 202.40€M 50.40€M 179.10€M 185.20€M 59.80€M 15.00€M 58.00€M -57.50€M -66.90€M 65.50€M 42.20€M -23.40€M 57.90€M 201.90€M -70.80€M -148.90€M -245.20€M -114.80€M 102.40€M
FCFS Free Cash Flow Per Share
2.22€ 1.32€ 0.34€ 1.17€ 1.21€ 0.39€ 0.12€ 0.38€ 0.46€ -0.44€ 0.43€ 0.28€ 0.52€ 0.38€ 1.54€ -0.50€ -0.61€ 0.44€ 0.36€ 0.86€