34.02€
-0.10€ (-0.29%)
End-of-day quote: 05/08/2024
HLSE:UPM

UPM-Kymmene 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
10.46€B 11.72€B 9.81€B 8.58€B 10.24€B 10.48€B 10.01€B 9.81€B 10.14€B 9.87€B 10.05€B 10.49€B 10.07€B 8.92€B 7.72€B 9.46€B 10.04€B 10.02€B 9.35€B 9.82€B
GM % Gross Margin %
11.16% 19.45% 17.68% 14.27% 16.83% 17.76% 15.58% 15.24% 13.31% 11.36% 9.29% 11.45% 11.01% 14.96% 12.99% 11.70% 14.30% 15.61% 13.44% 15.95%
OM Operating Margin
8.18% 17.48% 13.85% 10.01% 12.89% 13.77% 11.28% 10.38% 7.39% 5.61% 4.12% 3.82% 3.48% 6.40% 2.91% 3.18% 5.92% 6.76% 4.21% 5.77%
EPS Earnings Per Share
0.00€ 1.40€ 3.09€ 2.22€ 1.37€ 2.07€ 2.24€ 1.88€ 1.65€ 1.75€ 1.17€ 0.91€ 0.70€ 0.93€ 0.99€ 0.11€ 0.42€ 1.00€ 0.80€ 0.54€ 0.38€
Div. Dividends
1.50€ 1.50€ 1.30€ 1.30€ 1.30€ 1.30€ 1.15€ 0.95€ 0.75€ 0.70€ 0.60€ 0.60€ 0.60€ 0.55€ 0.45€ 0.40€ 0.75€ 0.75€ 0.75€ 0.75€
PR % Payout Ratio %
107.14% 48.54% 58.56% 94.89% 62.80% 58.04% 61.17% 57.58% 42.86% 59.83% 65.93% 85.71% 64.52% 55.56% 409.09% 95.24% 75.00% 93.75% 138.89% 197.37%
Sha. Shares
533.32m 533.32m 533.32m 533.32m 533.32m 533.32m 533.32m 533.5m 533.5m 533.5m 529.07m 525.89m 524.76m 519.97m 519.97m 519.95m 512.57m 523.26m 523.26m 524.32m
OCF Operating Cash Flow
2.27€B 508.00€M 1.25€B 1.01€B 1.85€B 1.33€B 1.56€B 1.69€B 1.19€B 1.24€B 735.00€M 1.04€B 1.04€B 982.00€M 1.26€B 628.00€M 867.00€M 1.22€B 853.00€M 997.00€M
FCF Free Cash Flow
770.58€M -890.00€M -182.00€M 187.00€M 1.47€B 1.09€B 1.34€B 1.34€B 753.00€M 863.00€M 398.00€M 640.00€M 755.00€M 725.00€M 346.00€M 77.00€M 159.00€M 516.00€M 104.00€M 367.00€M
FCFS Free Cash Flow Per Share
2.23€ -1.82€ -0.51€ 0.24€ 2.71€ 1.83€ 2.35€ 2.50€ 1.41€ 1.62€ 0.75€ 1.26€ 1.45€ 1.43€ 1.97€ 0.14€ 0.37€ 1.11€ 0.31€ 0.70€