kr8.07
kr0.00 (0.00%)
End-of-day quote: 05/11/2024
OB:PGS

PGS 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
kr721.50M kr825.10M kr697.80M kr473.20M kr930.80M kr874.30M kr838.80M kr764.30M kr961.90M kr1.45B kr1.50B kr1.52B kr1.25B kr1.14B kr1.35B kr1.65B kr1.28B kr1.31B kr888.02M kr707.52M
GM % Gross Margin %
60.39% 60.65% 67.44% 68.24% 71.80% 69.78% 51.00% 48.55% 57.05% 55.04% 61.98% 57.69% 48.66% 48.74% 55.63% 59.80% 62.23% 52.67% 43.89% 39.69%
OM Operating Margin
22.49% 26.63% 24.99% 11.81% 30.72% 24.57% -21.53% -15.56% -1.76% 15.74% 27.12% 20.03% 11.47% 12.65% 28.88% 42.31% 38.00% 27.45% 13.04% -9.56%
EPS Earnings Per Share
kr0.00 kr-0.01 kr-0.04 kr-0.40 kr-0.32 kr-0.09 kr-0.29 kr-0.85 kr-1.04 kr-0.60 kr0.14 kr1.15 kr0.85 kr0.16 kr0.32 kr1.75 kr2.17 kr2.64 kr1.27 kr-0.15 kr-0.26
Div. Dividends
kr0.00 kr0.00 kr0.00 kr0.00 kr0.00 kr0.00 kr0.00 kr0.00 kr0.00 kr0.09 kr0.38 kr0.30 kr0.19 kr0.00 kr0.00 kr0.00 kr0.00 kr0.00 kr0.00 kr0.00
PR % Payout Ratio %
-0.00% -0.00% -0.00% -0.00% -0.00% -0.00% -0.00% -0.00% -0.00% 64.29% 33.04% 35.29% 118.75% 0.00% 0.00% 0.00% 0.00% 0.00% -0.00% -0.00%
Sha. Shares
953.99m 909.27m 400.67m 387.21m 338.58m 338.58m 338.57m 324.39m 238.18m 214.11m 215.14m 216.78m 216.58m 217.26m 198m 176.19m 175.89m 180m 180m 180m
OCF Operating Cash Flow
kr467.20M kr371.30M kr326.60M kr366.50M kr474.30M kr445.90M kr281.80M kr320.90M kr487.90M kr584.30M kr775.30M kr752.90M kr480.40M kr355.52M kr683.01M kr914.62M kr722.82M kr627.23M kr280.71M kr282.37M
FCF Free Cash Flow
kr107.88M kr209.50M kr154.70M kr111.90M kr221.80M kr95.80M kr-18.30M kr-207.80M kr20.60M kr200.90M kr337.50M kr69.01M kr181.32M kr132.00M kr441.02M kr468.12M kr478.10M kr463.05M kr190.22M kr134.00M
FCFS Free Cash Flow Per Share
kr0.20 kr0.35 kr0.39 kr0.27 kr0.45 kr0.30 kr-0.29 kr-0.45 kr0.01 kr-0.79 kr-0.30 kr0.32 kr-0.20 kr-0.24 kr1.32 kr1.29 kr1.43 kr1.88 kr0.75 kr0.52