kr280.80
kr-3.40 (-1.21%)
End-of-day quote: 05/15/2024
OM:INVE A

Investor AB (publ) Annual Report

Year Year 2021 2020 2019 2018 2017 2015 2014 2013 2012 2011 2010 2009 2008 2005
Rev. Revenue
kr265.50B kr88.13B kr143.88B kr40.48B kr78.86B kr41.78B kr70.57B kr62.01B kr42.01B kr1.90B kr36.05B kr35.69B kr-34182.00M kr46.74B
GM % Gross Margin %
91.81% 75.70% 83.08% 32.27% 72.02% 61.74% 80.83% 80.46% 73.42% 0.00% 93.49% 97.21% 0.00% 98.47%
OM Operating Margin
86.32% 60.83% 73.97% 3.91% 59.63% 45.99% 72.46% 72.31% 62.66% 0.00% 90.30% 97.17% 0.00% 97.46%
EPS Earnings Per Share
kr0.00 kr4.75 kr3.80 kr3.08 kr2.97 kr2.70 kr3.02 kr2.85 kr14.81 kr7.96 kr-2.98 kr10.08 kr10.27 kr-12.00 kr14.26
Div. Dividends
kr4.00 kr3.50 kr3.50 kr3.25 kr3.00 kr2.50 kr2.25 kr2.00 kr1.75 kr1.50 kr1.00 kr1.00 kr1.00 kr0.88
PR % Payout Ratio %
84.21% 92.11% 113.64% 109.43% 111.11% 82.78% 78.95% 13.50% 21.98% -50.34% 9.92% 9.74% -8.33% 6.17%
Sha. Shares
3063.46m 3063.25m 765.33m 765.07m 764.78m 761.9m 761.38m 760.88m 760.93m 760.51m 760.49m 762.49m 764.69m 767.18m
OCF Operating Cash Flow
kr14.26B kr10.97B kr14.54B kr11.93B kr10.86B kr10.50B kr8.98B kr6.72B kr4.79B kr5.34B kr3.12B kr756.00M kr3.60B kr643.00M
FCF Free Cash Flow
kr10.46B kr8.18B kr12.45B kr10.16B kr9.49B kr9.46B kr7.93B kr5.94B kr4.10B kr4.77B kr2.95B kr664.00M kr3.54B kr371.00M
FCFS Free Cash Flow Per Share
kr3.41 kr2.67 kr16.27 kr13.28 kr12.41 kr12.41 kr10.42 kr7.81 kr5.39 kr6.27 kr3.88 kr0.87 kr4.63 kr0.48