Atea ASA financials at a glance

Year Year 2004 2005 2006 2007 2008 2009 2010 2011 2012 2013 2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 2024
Rev. Revenue
kr3.55B kr3.09B kr8.75B kr13.21B kr14.77B kr14.59B kr17.13B kr20.23B kr20.93B kr22.10B kr24.59B kr27.90B kr31.19B kr32.44B kr34.71B kr36.66B kr39.50B kr41.32B kr32.40B kr34.70B kr0.00M
GM % Gross Margin %
5.87% 5.53% 6.88% 9.25% 9.69% 9.65% 9.50% 8.01% 7.54% 6.95% 7.01% 6.49% 6.36% 6.62% 21.53% 20.97% 20.85% 20.44% 27.79% 29.53% 0.00%
OM Operating Margin
-0.21% -3.11% 2.14% 2.94% 2.72% 2.29% 2.86% 3.22% 2.68% 1.98% 2.37% 1.85% 2.19% 2.46% 1.99% 2.04% 2.18% 2.52% 3.69% 3.58% 0.00%
EPS Earnings Per Share
kr-2.30 kr2.12 kr4.60 kr4.52 kr4.33 kr5.40 kr5.90 kr5.07 kr4.10 kr4.10 kr3.72 kr4.80 kr5.00 kr4.48 kr4.78 kr5.58 kr6.70 kr7.57 kr7.14 kr0.00
Div. Dividends
kr0.00 kr0.00 kr0.00 kr0.00 kr1.00 kr1.25 kr2.00 kr5.00 kr5.50 kr6.00 kr6.00 kr6.50 kr6.50 kr6.50 kr6.50 kr6.50 kr6.50 kr5.50 kr6.25 kr7.00 kr0.00
PR % Payout Ratio %
-0.00% -0.00% 0.00% 0.00% 22.12% 28.87% 37.04% 84.75% 108.48% 146.34% 146.34% 174.73% 135.42% 130.00% 145.09% 135.98% 116.49% 82.09% 82.56% 98.04% 0
Sha. Shares
23.19m 38.19m 94.49m 95.23m 91.74m 92.31m 96.29m 99.78m 101.18m 103.11m 104.09m 104.49m 105.76m 107.57m 108.68m 109.7m 109.38m 109.38m 110.6m 0m 111.47m
OCF Operating Cash Flow
kr132.10M kr-268.50M kr-211.90M kr490.80M kr501.30M kr726.50M kr586.50M kr1.05B kr812.40M kr873.80M kr959.00M kr1.29B kr1.40B kr1.24B kr946.00M kr1.90B kr1.39B kr1.10B kr1.03B kr1.88B kr0.00M
FCF Free Cash Flow
kr24.40M kr-310.70M kr-254.90M kr358.40M kr350.00M kr689.50M kr433.80M kr873.20M kr565.50M kr630.50M kr742.20M kr996.00M kr1.12B kr1.01B kr641.00M kr1.64B kr1.07B kr824.00M kr709.00M kr1.68B kr0.00M
FCFS Free Cash Flow Per Share
kr1.03 kr-8.13 kr-3.26 kr3.77 kr3.73 kr6.43 kr4.88 kr8.61 kr5.61 kr5.74 kr7.13 kr9.48 kr10.69 kr9.42 kr5.92 kr14.42 kr9.62 kr6.92 kr5.70 kr14.02 kr0.00