ROCKWOOL International A/S
CPSE:ROCK B
kr 2,822.00
+ kr70.00 (2.54%)
kr 2,822.00
+ kr70.00 (2.54%)
End-of-day quote: 05/24/2024

ROCKWOOL International A/S financials at a glance

The revenue of ROCKWOOL International A/S is reported as 3.62 billion Kroner in the fiscal year 2023. The earnings were 18 Kroner per share in 2023, which was 42.86 higher than 2022. And about 0.259 billion Kroner are reported as free cash flow in the financials of ROCKWOOL International A/S 2023. Dividends of 5.8 Kroner per share were paid to shareholders of ROCKWOOL International A/S stock CPSE:ROCK B in fiscal 2023.

kr3.62B
Revenue
kr18.00
Earnings Per Share
64.03%
Gross Margin %
kr370.14M
Free Cash Flow
Revenue
3,620.00
Earnings Per Share
18.00
Gross Margin %
64.03
Free Cash Flow
370.14

Financials

Year Year TTM 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005 2004
Rev. Revenue N/A kr3.62B kr3.91B kr3.09B kr2.60B kr2.76B kr2.67B kr2.37B kr2.21B kr2.22B kr2.19B kr2.00B kr1.97B kr1.85B kr1.57B kr1.50B kr1.84B kr1.87B kr1.55B kr1.35B kr1.23B
GM % Gross Margin % 62.51% 64.03% 56.95% 63.86% 67.52% 66.30% 65.97% 65.76% 66.67% 64.24% 62.95% 63.06% 62.80% 61.42% 65.08% 65.82% 65.84% 71.36% 68.12% 66.59% 67.48%
OM Operating Margin 13.27% 14.72% 10.26% 12.99% 13.11% 13.57% 13.03% 10.87% 10.20% 7.74% 7.58% 8.73% 8.13% 6.34% 7.16% 5.78% 11.07% 19.26% 12.97% 8.95% 8.04%
EPS Earnings Per Share kr18.08 kr18.00 kr12.60 kr14.02 kr11.51 kr12.98 kr12.09 kr9.76 kr7.64 kr4.20 kr5.18 kr5.35 kr4.79 kr3.97 kr3.16 kr2.00 kr6.18 kr12.11 kr5.85 kr3.51 kr2.70
Div. Dividends N/A kr5.80 kr4.70 kr4.70 kr4.30 kr4.30 kr4.00 kr3.24 kr2.53 kr1.50 kr1.52 kr1.39 kr1.37 kr1.29 kr1.29 kr1.29 kr1.29 kr1.93 kr1.29 kr0.65 kr0.54
PR % Payout Ratio % 0 32.22% 37.30% 33.52% 37.36% 33.13% 33.09% 33.20% 33.12% 35.71% 29.34% 25.98% 28.60% 32.49% 40.82% 64.50% 20.87% 15.94% 22.05% 18.52% 20.00%
Sha. Shares N/AM 21.57M 21.57M 21.56M 21.57M 21.9M 21.9M 21.77M 21.7M 21.58M 21.62M 21.54M 21.55M 21.6M 21.67M 21.62M 21.6M 21.66M 21.65M 21.54M 21.51M
OCF Operating Cash Flow N/A kr580.00M kr394.00M kr426.00M kr438.00M kr402.00M kr408.00M kr332.20M kr326.00M kr297.30M kr205.50M kr252.61M kr235.25M kr205.40M kr172.31M kr262.04M kr202.29M kr332.62M kr242.89M kr0.00M kr0.00M
FCF Free Cash Flow N/A kr370.14M kr60.00M kr116.00M kr76.00M kr2.00M kr196.00M kr167.00M kr225.80M kr126.90M kr-15.70M kr80.54M kr114.81M kr57.57M kr-17.03M kr-,818.96M kr-2,267.71M kr-1,166.38M kr-,711.01M kr0.00M kr0.00M
FCFS Free Cash Flow Per Share kr14.53 kr17.66 kr2.78 kr5.75 kr3.50 kr0.09 kr8.47 kr9.20 kr10.43 kr5.84 kr-1.24 kr3.32 kr36.57 kr19.81 kr31.80 kr37.55 kr-52.30 kr40.60 kr38.12 kr6.48 kr20.23