﷼45.80
﷼-1.55 (-3.27%)
End-of-day quote: 05/14/2024
SASE:2050

Savola Group Annual Report

Year Year 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008
Rev. Revenue
﷼26.82B ﷼28.05B ﷼24.67B ﷼21.70B ﷼22.24B ﷼21.81B ﷼23.83B ﷼26.33B ﷼25.13B ﷼26.59B ﷼25.28B ﷼27.39B ﷼25.20B ﷼21.03B ﷼17.92B ﷼13.82B
GM % Gross Margin %
19.95% 16.97% 17.74% 20.90% 19.92% 17.58% 18.09% 17.32% 19.63% 17.81% 18.37% 17.06% 15.36% 15.30% 17.02% 12.84%
OM Operating Margin
5.60% 3.48% 3.61% 4.64% 3.34% -0.45% 1.15% 1.31% 3.94% 5.56% 6.84% 6.85% 5.31% 4.44% 5.72% 2.43%
EPS Earnings Per Share
﷼0.00 ﷼1.49 ﷼1.23 ﷼1.01 ﷼1.79 ﷼0.78 ﷼-0.79 ﷼0.56 ﷼0.23 ﷼3.36 ﷼3.90 ﷼3.54 ﷼2.80 ﷼2.10 ﷼2.90 ﷼1.70 ﷼1.33
Div. Dividends
﷼0.73 ﷼0.66 ﷼0.20 ﷼0.75 ﷼0.30 ﷼1.00 ﷼1.00 ﷼1.25 ﷼2.00 ﷼2.25 ﷼2.00 ﷼1.40 ﷼1.30 ﷼1.00 ﷼1.00 ﷼1.00
PR % Payout Ratio %
48.99% 53.66% 19.80% 41.90% 38.46% -126.58% 178.57% 543.48% 59.52% 57.69% 56.50% 50.00% 61.90% 34.48% 58.82% 75.19%
Sha. Shares
531.8m 533.34m 533.29m 533.64m 533.98m 533.98m 533.98m 533.98m 533.9m 533.9m 533.9m 500m 500m 500m 500m 500m
OCF Operating Cash Flow
﷼1.72B ﷼1.10B ﷼864.39M ﷼1.83B ﷼1.26B ﷼519.21M ﷼1.15B ﷼1.70B ﷼2.09B ﷼2.12B ﷼1.52B ﷼1.69B ﷼1.57B ﷼1.40B ﷼2.34B ﷼471.68M
FCF Free Cash Flow
﷼1.22B ﷼281.22M ﷼727.13M ﷼1.29B ﷼1.36B ﷼-357.66M ﷼775.51M ﷼225.36M ﷼-25.86M ﷼222.12M ﷼41.85M ﷼531.69M ﷼1.45B ﷼1.34B ﷼1.08B ﷼-538.22M
FCFS Free Cash Flow Per Share
﷼1.54 ﷼0.47 ﷼0.72 ﷼2.68 ﷼1.66 ﷼0.28 ﷼1.04 ﷼0.88 ﷼0.03 ﷼1.37 ﷼0.91 ﷼1.37 ﷼1.80 ﷼1.85 ﷼1.30 ﷼-2.07