Nolato 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
kr2.40B kr2.26B kr2.70B kr2.42B kr2.82B kr2.60B kr3.38B kr2.98B kr3.87B kr4.52B kr4.23B kr4.73B kr4.45B kr6.72B kr8.10B kr7.92B kr9.36B kr11.61B kr10.77B kr9.55B kr0.00M
GM % Gross Margin %
21.62% 17.95% 10.10% 16.03% 15.55% 13.60% 14.49% 13.17% 13.45% 14.46% 16.86% 17.39% 16.06% 16.04% 15.51% 15.76% 16.09% 15.65% 13.25% 14.00% 0.00%
OM Operating Margin
8.37% 9.93% 2.70% 7.97% 8.04% 5.84% 7.41% 6.99% 7.46% 8.91% 10.68% 11.47% 9.58% 11.40% 11.53% 11.24% 11.71% 11.19% 7.75% 6.86% 0.00%
EPS Earnings Per Share
kr0.63 kr0.61 kr0.51 kr0.68 kr0.54 kr0.71 kr0.50 kr0.81 kr1.24 kr1.38 kr1.60 kr1.32 kr2.22 kr2.71 kr2.72 kr3.12 kr3.70 kr2.44 kr2.02 kr0.00
Div. Dividends
kr0.18 kr0.24 kr0.24 kr0.30 kr0.28 kr0.30 kr0.60 kr0.50 kr0.60 kr0.80 kr0.85 kr1.00 kr1.05 kr1.25 kr1.40 kr0.00 kr1.60 kr1.90 kr1.90 kr1.50 kr0.00
PR % Payout Ratio %
41.86% 38.10% 39.34% 58.82% 41.18% 55.56% 84.51% 100.00% 74.07% 64.52% 61.59% 62.50% 79.55% 56.31% 51.66% 0.00% 51.28% 51.35% 77.87% 74.26% 0
Sha. Shares
263.07m 263.07m 263.07m 263.07m 263.07m 263.07m 263.07m 263.07m 263.07m 263.07m 263.07m 263.07m 263.07m 263.07m 263.07m 265.48m 26.58m 26.74m 269.38m 0m 269.38m
OCF Operating Cash Flow
kr356.00M kr307.00M kr280.00M kr315.00M kr451.00M kr257.00M kr370.00M kr246.00M kr476.00M kr512.00M kr330.00M kr532.00M kr466.00M kr773.00M kr1.05B kr1.16B kr1.16B kr1.23B kr406.00M kr781.00M kr0.00M
FCF Free Cash Flow
kr235.00M kr158.00M kr138.00M kr218.00M kr297.00M kr140.00M kr233.00M kr112.00M kr141.00M kr361.00M kr126.00M kr288.00M kr-153.00M kr496.00M kr647.00M kr800.00M kr791.00M kr452.00M kr206.33M kr415.33M kr0.00M
FCFS Free Cash Flow Per Share
kr0.88 kr0.60 kr0.48 kr0.83 kr1.13 kr0.52 kr0.88 kr0.43 kr1.21 kr1.37 kr0.48 kr1.09 kr0.92 kr1.88 kr2.25 kr3.03 kr2.97 kr1.66 kr-0.18 kr1.30 kr0.00