kr170.00
kr0.00 (0.00%)
End-of-day quote: 05/11/2024
OM:BIOT

Biotage AB (publ) 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
kr1.86B kr1.57B kr1.23B kr1.09B kr1.10B kr910.90M kr748.15M kr667.91M kr610.53M kr490.38M kr444.64M kr462.94M kr428.41M kr428.93M kr394.12M kr385.30M kr397.57M kr519.50M kr430.40M kr366.65M
GM % Gross Margin %
61.71% 60.54% 61.28% 61.04% 62.23% 61.11% 61.04% 57.76% 56.11% 54.43% 56.13% 58.63% 57.49% 59.75% 57.11% 58.26% 60.33% 61.54% 53.45% 59.47%
OM Operating Margin
18.15% 19.67% 21.67% 17.23% 19.28% 17.72% 16.83% 13.79% 12.02% 8.68% 8.81% 9.47% 5.96% 5.59% 0.72% 2.47% 4.61% 2.51% -15.25% -17.36%
EPS Earnings Per Share
kr0.00 kr3.63 kr4.04 kr3.13 kr2.69 kr2.87 kr2.64 kr2.14 kr1.43 kr1.13 kr0.79 kr0.61 kr0.52 kr0.33 kr0.41 kr-0.11 kr0.53 kr1.12 kr0.14 kr-0.57 kr-1.92
Div. Dividends
kr1.60 kr1.60 kr1.55 kr1.50 kr0.00 kr1.50 kr1.40 kr0.00 kr1.00 kr0.75 kr0.60 kr0.50 kr0.40 kr0.25 kr0.20 kr0.20 kr0.00 kr0.00 kr0.00 kr0.00
PR % Payout Ratio %
44.08% 39.60% 49.52% 55.76% 0.00% 56.82% 65.42% 0 88.50% 94.94% 98.36% 96.15% 121.21% 60.98% -181.82% 37.74% 0.00% 0.00% -0.00% -0.00%
Sha. Shares
80.01m 65.98m 65.98m 65.2m 65.2m 64.71m 64.71m 64.71m 64.71m 64.71m 64.72m 71.47m 76.37m 79.64m 86.91m 88.49m 88.49m 88.49m 88.49m 64.04m
OCF Operating Cash Flow
kr284.00M kr341.00M kr353.00M kr279.05M kr211.81M kr155.01M kr168.93M kr139.07M kr120.08M kr80.91M kr56.76M kr74.47M kr109.05M kr57.60M kr36.25M kr88.74M kr33.72M kr39.91M kr-21.69M kr-98.49M
FCF Free Cash Flow
kr282.67M kr308.00M kr297.00M kr208.95M kr233.11M kr107.85M kr131.13M kr125.85M kr88.05M kr48.73M kr15.43M kr34.51M kr66.79M kr47.27M kr19.99M kr82.13M kr26.62M kr29.25M kr-29.84M kr-102.99M
FCFS Free Cash Flow Per Share
kr2.61 kr4.11 kr4.54 kr3.35 kr2.55 kr1.67 kr2.03 kr1.41 kr1.36 kr0.75 kr0.23 kr0.47 kr0.86 kr0.31 kr-0.03 kr0.73 kr0.04 kr-0.04 kr-0.64 kr-2.04