kr120.35
kr-1.40 (-1.16%)
End-of-day quote: 05/22/2024
OM:HEXA B

Hexagon 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
kr5.44B kr5.16B kr4.34B kr3.76B kr3.91B kr3.76B kr3.45B kr3.15B kr3.04B kr2.62B kr2.43B kr2.38B kr2.17B kr1.48B kr11.81B kr14.48B kr14.59B kr13.47B kr9.64B kr8.26B
GM % Gross Margin %
65.19% 65.30% 64.50% 63.30% 63.17% 62.16% 61.54% 60.40% 60.33% 57.75% 55.48% 54.67% 52.72% 51.23% 47.68% 45.80% 41.80% 38.01% 27.95% 26.17%
OM Operating Margin
22.99% 28.72% 29.83% 26.81% 25.26% 25.00% 25.04% 23.52% 23.35% 21.85% 21.04% 20.39% 19.88% 21.06% 15.33% 17.56% 14.77% 12.85% 6.00% 7.53%
EPS Earnings Per Share
kr0.00 kr0.44 kr0.45 kr0.39 kr0.29 kr0.30 kr0.29 kr0.26 kr0.23 kr0.21 kr0.17 kr0.15 kr0.14 kr0.12 kr0.11 kr0.07 kr0.10 kr0.11 kr0.08 kr0.05 kr0.03
Div. Dividends
kr0.13 kr0.12 kr0.11 kr0.09 kr0.09 kr0.08 kr0.08 kr0.07 kr0.06 kr0.05 kr0.04 kr0.04 kr0.02 kr0.02 kr0.02 kr0.01 kr0.04 kr0.03 kr0.01 kr0.01
PR % Payout Ratio %
29.55% 26.67% 28.21% 31.03% 30.00% 27.59% 30.77% 30.43% 28.57% 29.41% 26.67% 28.57% 16.67% 18.18% 28.57% 10.00% 36.36% 37.50% 20.00% 33.33%
Sha. Shares
2684.38m 2689.68m 2696.13m 2568.33m 367.54m 362.92m 360.44m 360.44m 360.34m 357.39m 355m 352.67m 352.49m 352.15m 264.35m 264.21m 265.35m 265.18m 209.7m 166.51m
OCF Operating Cash Flow
kr1.37B kr1.33B kr1.32B kr1.30B kr1.06B kr951.90M kr878.60M kr774.20M kr704.00M kr549.20M kr502.40M kr497.30M kr353.00M kr212.60M kr2.43B kr1.76B kr2.03B kr1.12B kr764.00M kr642.00M
FCF Free Cash Flow
kr720.01M kr820.00M kr932.00M kr991.20M kr704.50M kr555.00M kr631.60M kr524.50M kr492.30M kr330.90M kr290.50M kr325.50M kr233.10M kr188.40M kr2.35B kr1.66B kr1.94B kr1.02B kr729.60M kr402.00M
FCFS Free Cash Flow Per Share
kr0.28 kr0.28 kr0.33 kr0.35 kr1.79 kr1.59 kr1.66 kr1.42 kr1.28 kr0.87 kr0.81 kr0.92 kr0.60 kr0.40 kr5.31 kr2.80 kr4.16 kr1.02 kr1.55 kr1.92