6.51€
+ 0.08€ (1.23%)
End-of-day quote: 05/15/2024
HLSE:SANOMA

Sanoma 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
1.39€B 1.30€B 1.25€B 1.08€B 923.20€M 904.30€M 1.44€B 1.56€B 1.72€B 1.90€B 2.08€B 2.38€B 2.38€B 2.76€B 2.77€B 3.03€B 2.93€B 2.74€B 2.62€B 2.50€B
GM % Gross Margin %
65.04% 64.72% 66.71% 66.97% 69.38% 68.78% 67.37% 70.01% 69.30% 67.96% 66.62% 65.65% 63.91% 56.27% 55.25% 54.87% 55.27% 54.66% 55.09% 54.47%
OM Operating Margin
4.52% 9.37% 11.30% 10.61% 11.40% 11.75% 13.58% 14.46% 2.30% 3.80% 5.30% 9.14% 8.60% 8.52% 7.21% 9.41% 10.48% 10.35% 10.15% 10.61%
EPS Earnings Per Share
0.00€ 0.39€ 0.65€ 0.69€ 0.58€ 0.80€ 0.83€ 0.72€ 0.51€ 0.13€ 0.33€ 0.53€ 0.78€ 0.87€ 1.20€ 0.87€ 1.09€ 1.22€ 1.28€ 1.11€ 0.77€
Div. Dividends
0.37€ 0.37€ 0.54€ 0.52€ 0.50€ 0.45€ 0.35€ 0.20€ 0.10€ 0.20€ 0.10€ 0.60€ 0.60€ 1.10€ 0.80€ 0.90€ 1.00€ 0.95€ 0.82€ 0.73€
PR % Payout Ratio %
94.87% 56.92% 78.26% 89.66% 62.50% 54.22% 48.61% 39.22% 76.92% 60.61% 18.87% 76.92% 68.97% 91.67% 91.95% 82.57% 81.97% 74.22% 73.87% 94.81%
Sha. Shares
163.27m 163.18m 162.89m 163.04m 163.02m 162.5m 163.25m 162.33m 162.08m 162.81m 162.81m 162.81m 162.81m 162.81m 161.82m 160.67m 163.14m 164.96m 156.93m 153.11m
OCF Operating Cash Flow
148.20€M 164.60€M 181.40€M 137.40€M 163.00€M 140.90€M 141.20€M 158.10€M 25.50€M 73.70€M 119.10€M 192.00€M 273.80€M 273.80€M 241.80€M 250.30€M 227.90€M 259.90€M 260.90€M 241.20€M
FCF Free Cash Flow
81.37€M 111.70€M 139.70€M 94.90€M 131.30€M 108.90€M 104.70€M 118.70€M -29.50€M 22.70€M 56.30€M 128.50€M 203.00€M 192.00€M 158.40€M 137.00€M 137.40€M 178.00€M 83.10€M 177.10€M
FCFS Free Cash Flow Per Share
0.64€ 0.68€ 0.86€ 0.58€ 0.81€ 0.67€ 0.64€ 0.76€ -0.18€ 0.14€ 0.33€ 0.79€ 1.25€ 1.19€ 1.00€ 0.85€ 0.85€ 1.12€ 1.11€ 1.16€