kr800.00
kr0.00 (0.00%)
End-of-day quote: 05/03/2024
OB:KOG

Kongsberg Gruppen 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
kr40.62B kr31.80B kr27.45B kr25.61B kr24.08B kr14.38B kr14.49B kr15.85B kr17.03B kr16.55B kr16.32B kr15.65B kr15.13B kr15.50B kr13.82B kr11.06B kr8.31B kr6.72B kr5.79B kr5.90B
GM % Gross Margin %
62.25% 64.75% 65.11% 65.45% 61.26% 70.12% 69.52% 66.80% 64.87% 66.34% 66.83% 69.59% 62.92% 55.44% 54.87% 56.39% 59.33% 58.30% 59.77% 57.58%
OM Operating Margin
11.43% 10.47% 10.47% 7.89% 4.90% 5.35% 4.96% 3.05% 6.89% 8.79% 10.16% 11.83% 13.45% 13.63% 9.14% 9.39% 9.05% 6.67% 6.41% 4.00%
EPS Earnings Per Share
kr0.00 kr21.27 kr15.74 kr12.10 kr8.66 kr4.91 kr6.33 kr6.73 kr5.60 kr8.34 kr9.11 kr10.24 kr11.12 kr11.93 kr12.23 kr6.79 kr6.01 kr4.06 kr2.08 kr1.80 kr0.35
Div. Dividends
kr14.00 kr12.00 kr15.30 kr8.00 kr2.50 kr2.50 kr3.75 kr3.75 kr4.25 kr9.25 kr4.25 kr3.75 kr3.75 kr3.75 kr2.00 kr1.38 kr1.25 kr0.63 kr0.54 kr0.50
PR % Payout Ratio %
65.82% 76.24% 126.45% 92.38% 50.92% 39.49% 55.72% 66.96% 50.96% 101.54% 41.50% 33.72% 31.43% 30.66% 29.46% 22.96% 30.79% 30.29% 30.00% 142.86%
Sha. Shares
175.9m 176.66m 178.22m 179.8m 179.97m 179.97m 119.99m 120m 119.98m 119.97m 119.93m 119.93m 119.93m 119.98m 120m 119.93m 119.93m 119.98m 119.99m 119.48m
OCF Operating Cash Flow
kr5.83B kr1.11B kr4.97B kr2.81B kr2.01B kr2.19B kr2.90B kr809.00M kr-1087.00M kr2.32B kr1.98B kr207.00M kr1.64B kr2.02B kr2.67B kr-26.00M kr1.04B kr623.00M kr631.00M kr328.00M
FCF Free Cash Flow
kr1.67B kr484.00M kr4.27B kr5.20B kr-3168.00M kr1.98B kr2.57B kr-2534.00M kr-1436.00M kr1.99B kr1.21B kr-316.00M kr844.00M kr1.60B kr2.21B kr-842.00M kr605.00M kr402.00M kr503.00M kr131.00M
FCFS Free Cash Flow Per Share
kr19.66 kr0.28 kr23.52 kr11.17 kr7.21 kr14.47 kr20.38 kr-0.73 kr-12.96 kr15.60 kr12.90 kr-3.69 kr9.12 kr12.25 kr17.95 kr-7.48 kr4.44 kr3.21 kr4.20 kr1.10