Beijer Alma AB (publ) 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
kr1.30B kr1.32B kr1.49B kr1.65B kr1.84B kr1.57B kr2.29B kr2.83B kr2.78B kr3.07B kr3.30B kr3.52B kr3.53B kr3.97B kr4.41B kr4.62B kr4.25B kr4.58B kr5.87B kr6.88B kr0.00M
GM % Gross Margin %
34.38% 36.83% 37.86% 37.42% 35.33% 36.42% 37.72% 34.79% 33.71% 32.45% 32.42% 32.77% 32.48% 31.84% 31.22% 29.85% 30.37% 33.20% 30.07% 29.48% 0.00%
OM Operating Margin
13.42% 15.64% 17.97% 17.46% 16.39% 15.21% 17.89% 15.58% 13.36% 14.31% 13.70% 14.51% 12.83% 13.62% 14.10% 12.60% 12.41% 16.17% 13.60% 12.44% 0.00%
EPS Earnings Per Share
kr2.62 kr3.46 kr3.75 kr3.95 kr2.96 kr4.76 kr5.19 kr4.46 kr4.80 kr5.30 kr5.87 kr5.44 kr6.45 kr7.78 kr7.15 kr6.59 kr10.01 kr9.05 kr7.64 kr0.00
Div. Dividends
kr0.50 kr1.82 kr2.00 kr2.50 kr2.50 kr2.50 kr3.50 kr3.50 kr3.50 kr4.00 kr4.25 kr4.75 kr4.75 kr4.75 kr5.10 kr5.10 kr3.00 kr3.50 kr4.73 kr3.85 kr0.00
PR % Payout Ratio %
27.03% 69.47% 57.80% 66.67% 63.29% 84.46% 73.53% 67.44% 78.48% 83.33% 80.19% 80.92% 87.32% 73.64% 65.55% 71.33% 45.52% 34.97% 52.27% 50.39% 0
Sha. Shares
54.86m 54.86m 54.86m 54.86m 54.86m 54.86m 60.26m 60.26m 60.26m 60.26m 60.26m 60.26m 60.28m 60.27m 60.27m 60.27m 60.26m 60.26m 60.26m 0m 60.26m
OCF Operating Cash Flow
kr234.60M kr231.34M kr200.08M kr196.29M kr233.60M kr277.36M kr280.31M kr327.35M kr336.18M kr402.25M kr402.58M kr363.25M kr465.04M kr388.09M kr457.33M kr588.47M kr720.91M kr729.00M kr484.90M kr960.00M kr0.00M
FCF Free Cash Flow
kr192.96M kr183.34M kr120.98M kr121.49M kr153.16M kr216.86M kr225.10M kr238.20M kr265.70M kr277.00M kr261.20M kr251.80M kr251.70M kr214.50M kr232.90M kr102.80M kr377.22M kr540.10M kr342.00M kr558.33M kr0.00M
FCFS Free Cash Flow Per Share
kr3.52 kr3.48 kr2.54 kr2.36 kr2.79 kr3.95 kr3.86 kr3.83 kr4.37 kr4.73 kr4.40 kr4.04 kr4.14 kr4.52 kr3.87 kr6.43 kr9.94 kr9.60 kr5.25 kr12.16 kr0.00