kr13.60
kr0.00 (0.00%)
End-of-day quote: 05/08/2024
OB:AKAST

Akastor ASA 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
kr282.00M kr1.06B kr953.00M kr4.58B kr5.36B kr3.80B kr3.61B kr4.81B kr9.58B kr21.16B kr18.39B kr41.63B kr33.75B kr33.21B kr49.86B kr58.25B kr57.96B kr50.59B kr36.94B kr35.55B
GM % Gross Margin %
42.20% 60.34% 69.15% 57.66% 51.76% 60.18% 59.48% 59.15% 48.77% 39.77% 44.37% 10.02% 8.52% 56.07% 43.94% 40.10% 37.19% 38.13% 42.36% 43.33%
OM Operating Margin
-10.64% 11.24% -7.97% -1.38% 4.40% 2.26% -4.74% -15.96% -6.94% 0.86% 2.97% 7.87% 6.62% 7.04% 7.24% 4.82% 6.01% 5.01% 4.09% 2.18%
EPS Earnings Per Share
kr0.00 kr-1.42 kr-1.03 kr-0.81 kr-1.72 kr0.57 kr-0.71 kr-3.75 kr-4.14 kr-4.31 kr-3.11 kr3.67 kr7.41 kr3.99 kr5.95 kr8.39 kr5.34 kr8.84 kr4.20 kr4.18 kr0.84
Div. Dividends
kr0.00 kr0.00 kr0.00 kr0.00 kr0.00 kr0.00 kr0.00 kr0.00 kr0.00 kr0.00 kr4.10 kr4.00 kr3.90 kr2.75 kr2.60 kr1.60 kr3.00 kr8.00 kr1.00 kr0.00
PR % Payout Ratio %
-0.00% -0.00% -0.00% -0.00% 0.00% -0.00% -0.00% -0.00% -0.00% -0.00% 111.72% 53.98% 97.74% 46.22% 30.99% 29.96% 33.94% 190.48% 23.92% 0.00%
Sha. Shares
273.83m 272.01m 271.61m 271.61m 271.61m 271.22m 271.22m 271.22m 271.22m 271.02m 272.04m 270.51m 269.79m 269.41m 269.43m 269.03m 269.63m 275.15m 275.15m 275.15m
OCF Operating Cash Flow
kr-296.00M kr-244.00M kr-96.00M kr211.00M kr406.00M kr315.00M kr-673.00M kr-129.00M kr-603.00M kr488.00M kr3.08B kr1.78B kr3.83B kr2.13B kr4.25B kr-868.00M kr2.68B kr2.64B kr3.67B kr1.65B
FCF Free Cash Flow
kr-92.00M kr375.00M kr-208.00M kr182.00M kr-149.00M kr562.00M kr117.00M kr2.59B kr-2063.00M kr-814.00M kr427.00M kr-1178.00M kr3.63B kr-336.00M kr2.04B kr-2440.00M kr1.08B kr1.81B kr3.19B kr1.23B
FCFS Free Cash Flow Per Share
kr-1.14 kr-0.94 kr-0.85 kr0.53 kr1.03 kr0.91 kr-2.68 kr-1.07 kr-8.26 kr-4.02 kr5.14 kr-4.95 kr0.60 kr-1.71 kr7.59 kr-9.07 kr3.97 kr6.58 kr11.60 kr4.46