Martela Oyj
HLSE:MARAS
1.33
+ 0.03€ (2.31%)
1.33
+ 0.03€ (2.31%)
End-of-day quote: 04/30/2024

Martela Oyj financials at a glance

The revenue of Martela Oyj is reported as 0.0935 billion Euro in the fiscal year 2023. The earnings were -0.9 Euro per share in 2023, which was 491.3 lower than 2022. And about 0.0015 billion Euro are reported as free cash flow in the financials of Martela Oyj 2023. No dividends were paid to the shareholders of the Martela Oyj stock HLSE:MARAS in the financial year 2023.

93.50€M
Revenue
-0.90€
Earnings Per Share
28.86%
Gross Margin %
-2.70€M
Free Cash Flow
Revenue
93.50
Earnings Per Share
-0.90
Gross Margin %
28.86
Free Cash Flow
-2.70

Financials

Year Year TTM 2023 2022 2021 2020 2019 2018 2017 2016 2015 2010 2007 2006 2005
Rev. Revenue N/A 93.50€M 106.71€M 91.90€M 88.40€M 106.00€M 103.10€M 109.54€M 129.13€M 132.80€M 0.00€M 128.45€M 119.73€M 102.25€M
GM % Gross Margin % 41.79% 28.86% 40.47% 40.92% 40.23% 40.03% 40.73% 42.56% 43.80% 44.04% 48.60% 51.24% 50.57% 51.43%
OM Operating Margin -6.03% -2.52% 0.46% -1.45% -4.59% -1.92% -2.60% 0.23% 4.66% 3.04% 1.19% 4.52% 2.87% 0.16%
EPS Earnings Per Share -0.84€ -0.90€ 0.23€ -0.53€ -0.84€ -0.52€ -0.57€ -0.15€ 0.91€ 0.61€ 0.16€ 0.70€ 0.70€ -0.01€
Div. Dividends N/A 0.00€ 0.10€ 0.00€ 0.00€ 0.00€ 0.10€ 0.32€ 0.37€ 0.25€ 0.00€ 0.50€ 0.25€ 0.15€
PR % Payout Ratio % 0 -0.00% 43.48% -0.00% -0.00% -0.00% -17.54% -,213.33% 40.66% 40.98% 0 71.43% 35.71% -1,500.00%
Sha. Shares N/AM 4.52M 4.52M 4.49M 4.14M 4.14M 4.14M 4.14M 4.11M 4.09M 4.09M 4.09M 4.09M 4.09M
OCF Operating Cash Flow N/A 3.30€M 2.07€M -3.40€M 5.72€M 6.27€M 7.40€M -7.62€M 13.76€M 3.87€M 0.00€M 0.00€M 0.00€M 0.00€M
FCF Free Cash Flow N/A -2.70€M 1.17€M -3.76€M 4.50€M 3.23€M 6.42€M -9.79€M 8.76€M 3.25€M 0.00€M 0.00€M 0.00€M 0.00€M
FCFS Free Cash Flow Per Share 0.21€ -0.44€ 0.26€ -0.84€ 1.09€ 0.78€ 1.55€ -2.36€ 2.21€ 0.79€ -1.10€ 1.87€ -0.24€ -0.17€