kr192.10
kr0.00 (0.00%)
End-of-day quote: 05/18/2024
OM:VITR

Vitrolife 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
kr3.51B kr3.23B kr1.68B kr1.25B kr1.48B kr1.15B kr1.05B kr856.11M kr722.37M kr510.51M kr452.74M kr362.02M kr308.07M kr297.57M kr274.63M kr225.14M kr188.94M kr171.26M kr120.12M kr103.86M
GM % Gross Margin %
56.32% 55.04% 62.24% 61.63% 63.42% 66.11% 65.16% 65.56% 67.12% 68.39% 66.39% 65.83% 65.08% 69.28% 70.24% 69.40% 68.63% 68.68% 69.04% 71.61%
OM Operating Margin
21.01% 20.01% 31.33% 29.28% 32.98% 35.25% 32.82% 29.32% 28.92% 26.79% 17.95% 14.30% 7.29% 12.23% 11.69% 10.45% 10.80% 12.88% 6.91% 12.98%
EPS Earnings Per Share
kr0.00 kr3.31 kr4.24 kr3.63 kr2.64 kr3.53 kr2.85 kr2.43 kr1.75 kr1.56 kr1.09 kr0.57 kr0.34 kr0.36 kr0.31 kr0.39 kr0.32 kr0.36 kr0.17 kr0.16 kr0.18
Div. Dividends
kr1.00 kr0.85 kr0.80 kr0.80 kr1.05 kr0.85 kr0.74 kr0.52 kr0.48 kr0.30 kr0.20 kr0.12 kr0.12 kr0.10 kr0.10 kr0.08 kr0.00 kr0.00 kr0.00 kr0.00
PR % Payout Ratio %
30.21% 20.05% 22.04% 30.30% 29.75% 29.82% 30.45% 29.71% 30.77% 27.52% 35.09% 35.29% 33.33% 32.26% 25.64% 25.00% 0.00% 0.00% 0.00% 0.00%
Sha. Shares
135.39m 135.39m 135.39m 108.55m 108.55m 108.55m 108.55m 108.55m 108.55m 108.55m 99.15m 99.15m 97.81m 97.76m 97.76m 97.76m 99m 98.95m 91.95m 91.95m
OCF Operating Cash Flow
kr757.00M kr636.00M kr384.31M kr356.45M kr413.33M kr349.44M kr312.19M kr181.26M kr193.53M kr145.67M kr106.13M kr59.93M kr39.46M kr48.40M kr41.48M kr42.79M kr21.29M kr23.78M kr14.12M kr14.01M
FCF Free Cash Flow
kr665.00M kr492.00M kr315.76M kr336.36M kr394.24M kr164.45M kr302.21M kr50.26M kr68.15M kr68.15M kr91.74M kr-2.61M kr24.74M kr2.40M kr16.58M kr2.44M kr15.09M kr16.08M kr7.11M kr-0.64M
FCFS Free Cash Flow Per Share
kr4.71 kr4.05 kr2.76 kr3.10 kr3.01 kr1.56 kr2.78 kr1.54 kr1.57 kr1.37 kr0.98 kr0.43 kr0.16 kr0.07 kr0.17 kr0.02 kr0.10 kr0.13 kr0.02 kr-0.04