kr91.40
kr-1.95 (-2.09%)
End-of-day quote: 05/17/2024
OM:FABG

Fabege 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
kr3.96B kr3.30B kr2.95B kr2.75B kr2.82B kr2.45B kr2.18B kr1.68B kr1.90B kr2.02B kr2.03B kr2.01B kr1.81B kr2.03B kr2.19B kr2.21B kr2.07B kr2.34B kr2.78B kr2.42B
GM % Gross Margin %
63.65% 60.88% 72.54% 73.70% 73.78% 74.11% 72.74% 64.94% 70.54% 70.67% 68.70% 70.49% 68.89% 68.20% 67.70% 66.00% 64.71% 59.80% 61.77% 69.75%
OM Operating Margin
61.20% 57.78% 68.81% 70.32% 70.77% 70.57% 69.01% 60.24% 66.70% 66.80% 65.01% 66.65% 64.70% 64.40% 63.86% 62.10% 60.60% 55.14% 59.25% 61.66%
EPS Earnings Per Share
kr0.00 kr3.47 kr3.47 kr3.84 kr3.53 kr3.94 kr3.19 kr2.29 kr1.18 kr1.59 kr1.92 kr1.43 kr-5.11 kr1.36 kr2.92 kr1.91 kr2.11 kr2.53 kr2.90 kr2.47 kr3.60
Div. Dividends
kr1.80 kr2.40 kr4.00 kr3.60 kr3.20 kr2.65 kr2.25 kr2.00 kr1.75 kr1.63 kr1.50 kr1.50 kr1.50 kr1.50 kr1.00 kr1.00 kr2.00 kr2.00 kr1.88 kr1.63
PR % Payout Ratio %
51.87% 69.16% 104.17% 101.98% 81.22% 83.07% 98.25% 169.49% 110.06% 84.90% 104.90% -29.35% 110.29% 51.37% 52.36% 47.39% 79.05% 68.97% 76.11% 45.28%
Sha. Shares
314.58m 314.58m 321.33m 326.21m 330.78m 330.78m 330.78m 330.78m 330.78m 330.78m 330.78m 327.11m 324.45m 325.96m 328.78m 328.76m 341.65m 380.63m 384.6m 373.9m
OCF Operating Cash Flow
kr1.57B kr1.99B kr1.52B kr1.35B kr2.02B kr923.00M kr783.00M kr777.00M kr1.74B kr-1914.00M kr104.00M kr505.00M kr1.95B kr-84.00M kr501.00M kr-464.00M kr1.63B kr3.84B kr-1355.00M kr-63.00M
FCF Free Cash Flow
kr2.30B kr-222.00M kr-1461.00M kr-477.00M kr-501.00M kr-2739.00M kr-3207.00M kr-2283.00M kr-2013.00M kr-3252.00M kr-1601.00M kr-756.00M kr716.00M kr2.75B kr-637.00M kr-2628.00M kr-1120.00M kr2.91B kr-9987.00M kr-74.00M
FCFS Free Cash Flow Per Share
kr4.99 kr6.28 kr4.70 kr4.11 kr6.10 kr2.57 kr1.93 kr2.35 kr5.27 kr-5.79 kr0.31 kr1.55 kr5.98 kr-0.26 kr1.52 kr-1.39 kr4.52 kr10.04 kr-3.54 kr-0.27