kr337.00
+ kr1.00 (0.30%)
End-of-day quote: 05/16/2024
OM:BTS B

BTS Group AB (publ) Annual Report

Year Year 2023 2022 2021 2020 2019 2018 2017 2016 2012 2011 2010 2008 2007 2006 2005
Rev. Revenue
kr2.68B kr2.53B kr1.92B kr1.46B kr1.87B kr1.60B kr1.24B kr1.11B kr770.55M kr697.73M kr694.65M kr548.37M kr523.16M kr379.10M kr286.12M
GM % Gross Margin %
44.12% 44.82% 46.18% 40.19% 49.09% 52.49% 52.21% 51.29% 54.54% 54.02% 55.03% 18.09% 20.28% 21.64% 18.37%
OM Operating Margin
10.74% 11.99% 13.33% 4.41% 12.10% 11.47% 10.65% 10.08% 12.64% 12.78% 13.79% 12.85% 14.95% 16.45% 17.02%
EPS Earnings Per Share
kr0.00 kr9.62 kr11.83 kr8.54 kr1.82 kr7.84 kr6.56 kr4.88 kr3.96 kr3.41 kr3.16 kr3.28 kr3.01 kr2.98 kr2.48 kr1.87
Div. Dividends
kr5.70 kr5.40 kr4.80 kr1.20 kr0.00 kr3.60 kr2.80 kr0.00 kr1.75 kr0.00 kr1.50 kr1.22 kr1.23 kr1.04 kr0.60
PR % Payout Ratio %
59.25% 45.65% 56.21% 65.93% 0.00% 54.88% 57.38% 0 51.32% 0 45.73% 40.53% 41.28% 41.94% 32.09%
Sha. Shares
19.4m 19.37m 19.37m 19.32m 19.32m 19.01m 18.89m 18.65m 18.07m 18.05m 18.05m 18.05m 18.05m 18.05m 17.69m
OCF Operating Cash Flow
kr165.65M kr199.01M kr312.05M kr242.11M kr217.71M kr158.16M kr98.20M kr47.49M kr59.71M kr49.29M kr65.11M kr37.51M kr42.81M kr41.12M kr37.46M
FCF Free Cash Flow
kr217.00M kr178.00M kr130.16M kr229.73M kr201.47M kr120.84M kr80.48M kr34.21M kr51.95M kr40.28M kr60.99M kr32.05M kr40.56M kr38.64M kr33.58M
FCFS Free Cash Flow Per Share
kr6.47 kr7.17 kr15.14 kr11.48 kr9.99 kr7.35 kr4.27 kr1.83 kr2.62 kr2.23 kr3.38 kr1.78 kr2.25 kr1.35 kr0.03