kr67.16
kr0.00 (0.00%)
End-of-day quote: 05/17/2024
OB:NHY

Norsk Hydro 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
kr193.62B kr207.93B kr149.65B kr138.18B kr149.83B kr159.44B kr109.31B kr82.12B kr87.93B kr78.10B kr65.07B kr64.31B kr71.77B kr75.92B kr67.56B kr88.63B kr94.45B kr98.86B kr171.23B kr151.03B
GM % Gross Margin %
36.20% 37.78% 40.63% 38.78% 34.94% 35.70% 36.10% 36.49% 35.94% 34.09% 33.65% 35.38% 40.43% 35.86% 37.54% 35.94% 37.63% 36.49% 49.21% 47.21%
OM Operating Margin
20.04% 24.33% 22.74% 15.75% 0.42% 4.76% 7.60% 6.73% 8.90% 6.61% 2.75% 3.15% 8.05% 4.86% 0.31% 4.86% 7.71% 6.69% 27.86% 22.48%
EPS Earnings Per Share
kr0.00 kr4.26 kr10.70 kr6.77 kr1.25 kr0.52 kr2.75 kr3.95 kr1.83 kr2.98 kr1.55 kr0.65 kr0.42 kr1.89 kr1.14 kr-2.64 kr2.62 kr7.91 kr15.88 kr14.11 kr10.15
Div. Dividends
kr2.50 kr5.65 kr5.40 kr1.25 kr1.25 kr1.25 kr1.75 kr1.25 kr1.00 kr1.00 kr0.75 kr0.75 kr0.75 kr0.75 kr0.50 kr0.00 kr5.00 kr5.00 kr4.40 kr4.00
PR % Payout Ratio %
58.69% 52.80% 79.76% 100.00% 240.38% 45.45% 44.30% 68.31% 33.56% 64.52% 115.38% 178.57% 39.68% 65.79% -18.94% 0.00% 63.21% 31.49% 31.18% 39.41%
Sha. Shares
2012.05m 2042.4m 2051.48m 2049.12m 2047.65m 2046.3m 2044.7m 2042.89m 2041.59m 2039.83m 2038.79m 2037.57m 2036.46m 1587.78m 1204.79m 1206.33m 1209.3m 1226.18m 1250.69m 1254.2m
OCF Operating Cash Flow
kr22.22B kr29.34B kr14.33B kr13.52B kr12.55B kr7.03B kr14.35B kr10.02B kr14.37B kr5.83B kr5.06B kr5.75B kr7.28B kr6.36B kr4.55B kr8.00B kr39.27B kr21.03B kr27.39B kr28.56B
FCF Free Cash Flow
kr8.39B kr19.79B kr4.66B kr7.23B kr3.82B kr-194.00M kr7.05B kr3.11B kr9.12B kr2.67B kr2.37B kr2.18B kr3.44B kr4.23B kr1.80B kr4.51B kr35.79B kr18.02B kr10.12B kr12.82B
FCFS Free Cash Flow Per Share
kr4.23 kr9.62 kr4.05 kr3.53 kr1.87 kr-0.09 kr3.45 kr1.52 kr4.47 kr1.24 kr1.07 kr1.22 kr1.98 kr2.98 kr1.42 kr3.73 kr29.31 kr14.52 kr8.07 kr10.08