Veidekke 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
kr12.83B kr14.58B kr16.44B kr19.34B kr20.23B kr15.92B kr15.74B kr17.73B kr19.84B kr21.78B kr24.03B kr24.23B kr28.61B kr31.18B kr33.97B kr36.57B kr38.14B kr37.59B kr38.66B kr43.15B kr0.00M
GM % Gross Margin %
9.93% 11.81% 11.76% 11.24% 12.71% 38.67% 40.33% 36.92% 35.29% 33.66% 37.72% 37.11% 35.80% 36.24% 32.31% 35.72% 35.30% 35.44% 36.80% 5.63% 0.00%
OM Operating Margin
2.85% 4.06% 4.33% 4.51% 4.82% 3.72% 2.25% 2.29% 3.09% 2.93% 3.45% 3.36% 3.02% 3.07% 0.40% 1.85% 3.16% 3.65% 3.85% 3.23% 0.00%
EPS Earnings Per Share
kr3.90 kr4.96 kr7.10 kr5.22 kr3.00 kr2.60 kr4.80 kr3.40 kr4.17 kr6.30 kr5.70 kr6.60 kr9.36 kr7.81 kr4.60 kr6.20 kr7.10 kr8.10 kr8.21 kr0.00
Div. Dividends
kr1.20 kr2.00 kr2.60 kr4.00 kr2.50 kr2.50 kr2.50 kr2.75 kr2.50 kr3.00 kr3.50 kr4.00 kr4.50 kr5.00 kr5.00 kr0.00 kr28.25 kr7.00 kr7.75 kr7.75 kr0.00
PR % Payout Ratio %
70.59% 51.28% 52.42% 56.34% 47.89% 83.33% 96.15% 57.29% 73.53% 71.94% 55.56% 70.18% 68.18% 53.42% 64.02% 0.00% 455.65% 98.59% 95.68% 94.40% 0
Sha. Shares
138.04m 143.04m 143.04m 139.61m 134.32m 133.69m 132.99m 134.15m 133.84m 136.28m 136.46m 133.63m 133.72m 133.66m 133.75m 134.7m 134.67m 133.56m 133.73m 0m 134.87m
OCF Operating Cash Flow
kr192.30M kr655.30M kr338.10M kr1.59B kr1.18B kr1.09B kr411.50M kr344.50M kr-393.50M kr1.65B kr1.75B kr771.00M kr1.88B kr702.00M kr1.40B kr115.00M kr2.27B kr2.19B kr1.41B kr2.94B kr0.00M
FCF Free Cash Flow
kr-65.30M kr332.40M kr-56.40M kr1.05B kr496.50M kr656.20M kr36.50M kr-94.60M kr-733.30M kr1.48B kr1.26B kr123.00M kr880.00M kr511.00M kr961.50M kr-603.00M kr1.67B kr1.72B kr980.00M kr2.11B kr0.00M
FCFS Free Cash Flow Per Share
kr-0.47 kr2.33 kr-0.39 kr7.48 kr3.57 kr4.89 kr0.23 kr-0.33 kr-6.30 kr10.39 kr9.45 kr1.91 kr8.69 kr-0.50 kr1.97 kr-4.51 kr10.09 kr10.69 kr4.62 kr16.77 kr0.00