kr123.80
+ kr0.60 (0.48%)
End-of-day quote: 05/13/2024
OM:KIND SDB

Kindred Group Annual Report

Year Year 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005
Rev. Revenue
kr1.21B kr1.07B kr1.26B kr1.13B kr912.80M kr907.60M kr751.40M kr544.10M kr354.10M kr312.00M kr268.00M kr197.16M kr154.40M kr147.48M kr138.32M kr123.45M kr81.43M kr71.80M kr43.52M
GM % Gross Margin %
82.43% 80.15% 80.10% 79.30% 78.10% 78.33% 77.84% 75.81% 75.77% 78.43% 80.07% 92.72% 91.34% 87.47% 87.25% 91.06% 93.52% 96.46% 98.63%
OM Operating Margin
11.66% 6.79% 22.50% 20.14% 7.99% 19.18% 21.89% 19.98% 19.68% 20.67% 18.28% 21.49% 27.08% 23.20% 23.68% 29.57% 29.76% 40.63% 45.73%
EPS Earnings Per Share
kr0.00 kr0.48 kr0.29 kr1.07 kr0.76 kr0.28 kr0.58 kr0.53 kr0.38 kr0.25 kr0.25 kr0.18 kr0.16 kr0.16 kr0.15 kr0.12 kr0.04 kr0.09 kr0.17 kr0.07
Div. Dividends
kr0.00 kr0.35 kr0.34 kr0.33 kr0.18 kr0.50 kr0.55 kr0.31 kr0.24 kr0.21 kr0.14 kr0.09 kr0.07 kr0.00 kr0.09 kr0.03 kr0.06 kr0.07 kr0.03
PR % Payout Ratio %
0.00% 120.69% 31.78% 43.42% 64.29% 86.21% 103.77% 81.58% 96.00% 84.00% 77.78% 56.25% 43.75% 0.00% 75.00% 75.00% 66.67% 41.18% 42.86%
Sha. Shares
215.01m 217.6m 222.64m 227.15m 226.9m 226.59m 227.83m 227.54m 229.62m 227.62m 224.29m 223.46m 221.45m 224.54m 224.33m 223.55m 223.55m 225.93m 225m
OCF Operating Cash Flow
kr164.00M kr138.70M kr282.30M kr316.10M kr120.30M kr206.40M kr203.10M kr121.70M kr79.30M kr76.10M kr60.80M kr50.17M kr46.69M kr42.67M kr44.40M kr53.34M kr34.56M kr31.31M kr23.90M
FCF Free Cash Flow
kr103.30M kr90.90M kr237.30M kr290.20M kr63.30M kr149.40M kr164.40M kr92.10M kr62.30M kr62.00M kr41.15M kr30.77M kr31.93M kr35.19M kr43.56M kr51.38M kr27.96M kr27.00M kr23.28M
FCFS Free Cash Flow Per Share
kr0.50 kr0.41 kr1.05 kr1.28 kr0.28 kr0.69 kr0.72 kr0.40 kr0.27 kr0.25 kr0.18 kr0.14 kr0.14 kr0.16 kr0.18 kr0.21 kr0.11 kr0.11 kr0.10