kr392.00
+ kr6.50 (1.69%)
End-of-day quote: 05/10/2024
OB:WWI

Wilh. Wilhelmsen Holding 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
kr1.03B kr943.00M kr873.00M kr807.00M kr836.00M kr867.00M kr632.00M kr867.00M kr1.25B kr1.53B kr1.51B kr1.57B kr1.44B kr1.08B kr1.02B kr1.30B kr983.00M kr831.00M kr577.00M kr376.00M
GM % Gross Margin %
29.21% 33.62% 34.94% 36.43% 36.60% 35.06% 33.54% 28.49% 34.24% 42.40% 41.84% 47.77% 41.86% 30.39% 27.78% 30.40% 33.16% 39.35% 44.89% 58.78%
OM Operating Margin
8.57% 8.48% 8.13% 8.67% 7.89% 3.69% 2.53% 3.69% 10.91% 22.24% 21.48% 27.17% 20.37% 3.81% 0.10% 11.88% 14.65% 18.17% 15.94% 25.00%
EPS Earnings Per Share
kr0.00 kr9.71 kr6.63 kr1.63 kr1.66 kr1.55 kr1.09 kr0.65 kr1.27 kr1.16 kr3.84 kr5.60 kr4.42 kr2.42 kr1.04 kr5.35 kr5.80 kr2.97 kr4.73 kr3.91 kr2.01
Div. Dividends
kr1.04 kr0.58 kr0.81 kr0.70 kr0.47 kr0.64 kr0.65 kr0.60 kr0.60 kr0.63 kr0.82 kr1.45 kr1.34 kr0.95 kr0.34 kr0.29 kr1.66 kr1.38 kr8.00 kr1.32
PR % Payout Ratio %
10.71% 8.75% 49.69% 42.17% 30.32% 58.72% 100.00% 47.24% 51.72% 16.41% 14.64% 32.81% 55.37% 91.35% 6.36% 5.00% 55.89% 29.18% 204.60% 65.67%
Sha. Shares
44.19m 44.58m 44.58m 44.58m 44.58m 46.4m 46.4m 46.4m 46.4m 46.4m 46.4m 46.4m 46.4m 46.5m 46.5m 46.5m 48.72m 47.92m 47.97m 47.99m
OCF Operating Cash Flow
kr194.00M kr64.00M kr122.00M kr194.00M kr98.00M kr62.00M kr70.00M kr420.00M kr258.00M kr241.00M kr243.00M kr310.00M kr214.00M kr235.00M kr173.00M kr345.00M kr146.00M kr180.00M kr159.00M kr144.00M
FCF Free Cash Flow
kr101.00M kr15.00M kr77.00M kr163.00M kr58.00M kr8.00M kr110.00M kr131.00M kr62.00M kr150.00M kr153.00M kr173.00M kr-271.00M kr114.00M kr-106.00M kr-83.00M kr60.00M kr-154.00M kr-22.00M kr30.00M
FCFS Free Cash Flow Per Share
kr3.41 kr0.34 kr1.73 kr3.52 kr1.26 kr0.17 kr0.88 kr4.63 kr0.99 kr3.49 kr3.30 kr1.08 kr-5.34 kr2.28 kr-2.28 kr-1.77 kr1.40 kr-3.21 kr-0.46 kr0.63