kr610.00
kr-9.00 (-1.45%)
End-of-day quote: 05/24/2024
OB:AKER

Aker ASA Annual Report

Year Year 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2005
Rev. Revenue
kr14.50B kr26.41B kr9.17B kr6.81B kr48.76B kr42.16B kr40.87B kr43.35B kr58.47B kr70.78B kr61.38B kr5.95B kr4.88B kr5.53B kr6.26B kr6.40B kr40.02B
GM % Gross Margin %
34.08% 73.56% 34.71% 62.61% 21.78% 25.13% 25.84% 26.79% 23.01% 27.18% 21.52% 37.90% 39.55% 27.46% 23.24% 32.56% 16.47%
OM Operating Margin
-31.25% 40.95% -8.52% 12.60% 2.35% 5.46% 8.21% 7.36% 4.24% 5.83% 2.54% -23.79% 3.62% -2.24% -13.13% -12.18% 3.60%
EPS Earnings Per Share
kr0.00 kr-13.92 kr-25.57 kr118.95 kr28.95 kr29.07 kr12.19 kr11.21 kr-6.48 kr-24.92 kr17.94 kr22.50 kr31.96 kr26.73 kr1.84 kr-18.45 kr-15.80 kr8.39
Div. Dividends
kr32.50 kr32.00 kr23.50 kr23.50 kr22.50 kr22.50 kr18.00 kr16.00 kr10.00 kr10.00 kr13.00 kr12.00 kr11.00 kr10.00 kr8.00 kr5.00 kr6.50
PR % Payout Ratio %
-233.48% -125.15% 19.76% 81.17% 77.40% 184.58% 160.57% -246.91% -40.13% 55.74% 57.78% 37.55% 41.15% 543.48% -43.36% -31.65% 77.47%
Sha. Shares
74.3m 74.29m 74.29m 74.27m 74.28m 74.27m 74.3m 74.28m 74.16m 72.35m 72.33m 71.48m 72.37m 72.37m 72.37m 72.37m 72.37m
OCF Operating Cash Flow
kr1.54B kr-2780.00M kr1.80B kr2.81B kr3.28B kr5.26B kr2.41B kr9.37B kr9.07B kr5.31B kr5.74B kr2.80B kr2.92B kr797.00M kr119.00M kr-543.00M kr3.63B
FCF Free Cash Flow
kr-1145.00M kr-7471.00M kr-4079.00M kr-36.00M kr-5612.00M kr3.05B kr-1440.00M kr-444.00M kr-2896.00M kr-5993.00M kr-3301.00M kr-3625.00M kr1.04B kr-893.00M kr-5601.00M kr-6538.00M kr2.04B
FCFS Free Cash Flow Per Share
kr-22.16 kr-100.56 kr-54.91 kr16.90 kr-69.14 kr-3.98 kr-19.38 kr-34.11 kr-58.86 kr-82.85 kr-53.55 kr-50.24 kr25.48 kr-12.31 kr-77.40 kr-90.34 kr26.61