kr323.00
kr0.00 (0.00%)
End-of-day quote: 05/17/2024
OB:YAR

Yara International 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
kr15.43B kr23.90B kr16.62B kr11.59B kr12.86B kr12.93B kr11.36B kr95.25B kr108.01B kr95.34B kr84.79B kr84.00B kr79.96B kr64.01B kr60.87B kr88.05B kr57.56B kr46.97B kr46.17B kr44.04B
GM % Gross Margin %
21.62% 27.40% 26.97% 30.81% 27.41% 23.02% 25.93% 28.58% 28.32% 27.32% 24.96% 25.29% 27.67% 23.22% 16.09% 23.96% 21.60% 17.82% 21.17% 23.63%
OM Operating Margin
2.68% 15.54% 10.53% 9.38% 7.76% 3.66% 4.31% 7.82% 10.68% 11.00% 9.18% 12.68% 16.09% 9.54% 1.40% 13.48% 8.64% 4.76% 7.62% 7.78%
EPS Earnings Per Share
kr0.00 kr11.79 kr113.98 kr41.64 kr26.23 kr28.71 kr14.41 kr14.94 kr20.70 kr31.48 kr30.66 kr24.79 kr35.52 kr34.94 kr20.69 kr12.27 kr36.28 kr18.37 kr10.03 kr10.20 kr11.90
Div. Dividends
kr5.00 kr65.00 kr50.00 kr38.00 kr15.00 kr6.50 kr6.50 kr10.00 kr15.00 kr13.00 kr10.00 kr13.00 kr7.00 kr5.50 kr4.50 kr4.50 kr4.00 kr2.50 kr2.35 kr2.25
PR % Payout Ratio %
42.41% 57.03% 120.08% 144.87% 52.25% 45.11% 43.51% 48.31% 47.65% 42.40% 40.34% 36.60% 20.03% 26.58% 36.67% 12.40% 21.77% 24.93% 23.04% 18.91%
Sha. Shares
254.73m 254.73m 254.73m 263m 271.04m 272.7m 273.22m 273.22m 274.17m 275.5m 277.05m 280.57m 285.46m 288.38m 288.83m 289.82m 291.57m 295.7m 308.24m 316.44m
OCF Operating Cash Flow
kr2.29B kr2.39B kr1.41B kr2.05B kr1.91B kr756.00M kr791.00M kr14.08B kr14.63B kr8.61B kr12.30B kr13.23B kr7.36B kr7.09B kr11.93B kr3.99B kr4.31B kr3.85B kr3.11B kr4.02B
FCF Free Cash Flow
kr21.31B kr15.12B kr5.28B kr19.46B kr8.02B kr-5004.13M kr-4552.00M kr1.21B kr5.00B kr1.59B kr7.75B kr9.66B kr4.46B kr4.00B kr7.67B kr710.00M kr2.29B kr1.98B kr1.64B kr2.50B
FCFS Free Cash Flow Per Share
kr4.51 kr5.63 kr2.13 kr4.88 kr3.09 kr-2.12 kr-2.01 kr3.38 kr18.17 kr5.74 kr24.69 kr34.17 kr15.54 kr13.87 kr26.51 kr2.44 kr7.80 kr6.57 kr5.22 kr7.85