Oriola Oyj

Simbol: OKDAV.HE

HEL

1.11

EUR

Tržna cena danes

  • -7.9038

    Razmerje P/E

  • 0.1897

    Razmerje PEG

  • 186.87M

    Kapaciteta MRK

  • 0.07%

    Donos DIV

Oriola Oyj (OKDAV-HE) Finančni izkazi

Na grafu so prikazane privzete številke v dinamiki za Oriola Oyj (OKDAV.HE). Prihodki podjetja prikazujejo povprečje NaN M, ki je NaN % gowth. Povprečni bruto dobiček za celotno obdobje je NaN M, ki je NaN %. Povprečno razmerje bruto dobička je NaN %. Rast čistega dobička za lanskoletno poslovanje podjetja je NaN %, kar je enako NaN % % v povprečju v celotni zgodovini podjetja.,

Bilanca stanja

Če pogledamo fiskalno pot podjetja Oriola Oyj, opazimo povprečno rast sredstev. Zanimivo je, da ta stopnja znaša , kar odraža tako visoke kot tudi padce podjetja. Pri primerjavi četrtletja s četrtletjem se ta številka prilagodi na . Pogled nazaj v preteklo leto razkrije skupno spremembo sredstev v višini NaN. Vrednost za delničarje, kot jo prikazuje celotni lastniški kapital, je ovrednotena z vrednostjo NaN v valuti poročanja. Letna sprememba tega vidika je NaN%.

common:word.in-mln

USD
Growth
TTM202320222021202020192018201720162015201420132012201120102009200820072006

balance-sheet.row.cash-and-short-term-investments

0138.4160.6109.1
168.2
70.8
65.8
17
60.8
121.9
91.5
137.3
88.1
153.8
187.8
133.7
46.5
131
112.9

balance-sheet.row.short-term-investments

0000
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balance-sheet.row.net-receivables

0273.9232.6214.1
206.1
211.2
180
221
0
0
0
0
0
329.7
290
227.1
0
0
0

balance-sheet.row.inventory

0162.9148.5229.2
250.1
234.2
214.1
207.8
199.4
201.1
185
391.4
389.8
379.8
287.5
287.1
250.7
180.9
181

balance-sheet.row.other-current-assets

011.9232.61.5
3.9
4.5
208.7
251.6
227.9
227.5
206.9
409.7
415.2
0.1
0.1
-0.1
252.9
201
201.7

balance-sheet.row.total-current-assets

0587.1541.7553.9
628.3
520.8
488.6
476.4
488.1
550.5
483.4
938.4
893.1
863.4
765.4
647.8
550.1
512.9
495.6

balance-sheet.row.property-plant-equipment-net

04557.7155.9
162.2
158.4
77.1
79
71.6
72.7
75.2
93.2
81.4
74
68
53.3
54.5
56.3
63.3

balance-sheet.row.goodwill

035.261.1273.5
278.7
270.5
274.3
282.7
286.8
256.5
250.9
379
276.7
0
266.1
141.7
105.1
0
0

balance-sheet.row.intangible-assets

015.920.671
69.9
67
75.1
81.2
76.2
63.2
61.4
71.9
52.4
0
79.3
39.5
41.9
0
0

balance-sheet.row.goodwill-and-intangible-assets

051.181.7344.5
348.6
337.5
349.4
363.9
363
319.7
312.3
450.9
329.1
318.9
345.4
181.2
147
38.4
42.2

balance-sheet.row.long-term-investments

0235.4274.634.2
22.2
9.4
0
0.5
0
0
0
9.3
9.5
-318.9
9.2
38
28.5
37.2
0

balance-sheet.row.tax-assets

00.41.23.9
4.4
4.5
2.7
2.4
2.4
3.7
3.3
8.3
5.5
7.6
3.3
2.5
0.8
0.2
0

balance-sheet.row.other-non-current-assets

015.73.90.8
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0.1
9.8
0.3
0.2
0.3
0
0.1
-0.1
328.3
1.3
0.3
9.7
0.4
10.1

balance-sheet.row.total-non-current-assets

0347.6419.1539.3
537.3
509.9
439
446.1
437.2
396.4
390.8
561.8
425.4
409.9
427.2
275.3
240.5
132.5
115.6

balance-sheet.row.other-assets

000.10
0
-0.1
0.1
-0.1
0.1
0
-0.2
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0
0
0
0
0
0
0

balance-sheet.row.total-assets

0934.7960.91093.2
1165.6
1030.6
927.7
922.4
925.4
946.9
874
1500.1
1318.5
1273.3
1192.6
923.1
790.6
645.4
611.2

balance-sheet.row.account-payables

0607.5557.3591.7
620.3
606.7
536.5
525.5
504.3
547.7
494.3
834.9
851.3
748.1
601.2
468.5
0
363.7
352.7

balance-sheet.row.short-term-debt

0110.755.270.4
150.4
53.6
58
51.3
27
37.9
74.8
94.8
44.1
46
53.7
149.5
0
40.7
31.8

balance-sheet.row.tax-payables

00.16.95.6
5.6
7
0.7
0.7
0
0
0
0
0
0
0
0
0
0
0

balance-sheet.row.long-term-debt-total

0170123.5
127.8
123.5
59.1
60.9
84.6
66.9
98.4
176.2
0.4
127
124.5
0.2
0
0.3
0.5

Deferred Revenue Non Current

06.1018
19.3
17.3
14.3
12.9
10.9
11.6
16.6
7.9
0
6.3
5.7
4.9
0
4.4
4.1

balance-sheet.row.deferred-tax-liabilities-non-current

0---
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-

balance-sheet.row.other-current-liab

020.835.56.6
3.6
2.3
61.5
2.9
9.6
7.5
9.1
16.4
13.2
31.6
31.4
32.1
556.6
23.7
18.2

balance-sheet.row.total-non-current-liabilities

024.287.3153.7
161.5
155.7
89.5
92.2
114.7
94.7
128.4
201.7
23.1
148.3
152.5
8
48.5
13.8
14.8

balance-sheet.row.other-liabilities

0000
0
0
0
0
0
0
0
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0
0
0
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balance-sheet.row.capital-lease-obligations

06.114.378.8
81.7
84.3
1
1.6
2.7
3.2
4.5
0.9
0.7
0.8
0
0
0
0.9
1.4

balance-sheet.row.total-liab

0763.3735.3876.4
996
873.4
746.2
724.7
720.2
752.3
760.4
1222
1003.6
974
839.9
658.1
605.1
441.8
419.4

balance-sheet.row.preferred-stock

038.800
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0

balance-sheet.row.common-stock

036.236.236.2
36.2
36.2
36.2
36.2
36.2
36.2
36.2
36.2
36.2
36.2
36.2
36.2
36.2
36.2
36.2

balance-sheet.row.retained-earnings

050.883.288.3
54.5
59.7
79.8
86.8
83.8
64.7
21.6
0
252.8
231.9
264.5
156.4
118.1
129.2
116.9

balance-sheet.row.accumulated-other-comprehensive-income-loss

09.3106.392.3
78.9
61.3
0
0
0
0
0
0
0
0
0
0
0
0
0

balance-sheet.row.other-total-stockholders-equity

036.2-0.10
0
0
65.5
74.7
85.2
93.7
55.8
241.9
25.9
31.2
52
50.8
29.2
30.1
30.1

balance-sheet.row.total-stockholders-equity

0171.3225.6216.8
169.6
157.2
181.5
197.7
205.2
194.6
113.6
278.1
314.9
299.3
352.7
243.4
183.5
195.5
183.2

balance-sheet.row.total-liabilities-and-stockholders-equity

0934.7960.91093.2
1165.6
1030.6
927.7
922.4
925.4
946.9
874
1500.1
1318.5
1273.3
1192.6
923.1
790.6
645.4
611.2

balance-sheet.row.minority-interest

0000
0
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0
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0
0
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10.8
1
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8.6

balance-sheet.row.total-equity

0171.3225.6216.8
169.6
157.2
181.5
-
-
-
-
-
-
-
-
-
-
-
-

balance-sheet.row.total-liabilities-and-total-equity

0---
-
-
-
-
-
-
-
-
-
-
-
-
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Total Investments

0235.4274.634.2
22.2
9.4
0
0.5
0
0
0
9.3
9.5
-318.9
9.2
30.7
28.5
27.1
0

balance-sheet.row.total-debt

0117.8125.2193.9
278.2
177.1
117.1
112.2
111.6
104.8
173.2
271
44.5
173
178.2
149.7
0
41
32.3

balance-sheet.row.net-debt

0-20.6-35.484.8
110
106.3
51.3
95.2
50.8
-17.1
81.7
133.7
-43.6
19.2
-9.6
16
-46.5
-90
-80.6

Izkaz denarnih tokov

V zadnjem obdobju se je v finančnem okolju Oriola Oyj opazno spremenil prosti denarni tok, ki se je spremenil v NaN. Podjetje je nedavno povečalo svoj osnovni kapital z izdajo NaN, kar kaže na razliko NaN v primerjavi s prejšnjim letom. Družba je pri naložbenju porabila neto denarna sredstva v višini NaN v valuti poročanja. To je premik za NaN v primerjavi s prejšnjim letom. V istem obdobju je družba zabeležila NaN, NaN in NaN, ki so pomembne za razumevanje naložbenih in odplačilnih strategij podjetja. Družba je pri financiranju porabila NaN, pri čemer je razlika v primerjavi z letom prej znašala NaN. Poleg tega je podjetje namenilo NaN za izplačilo dividend svojim delničarjem. Hkrati je izvajalo tudi druge finančne manevre, imenovane NaN, ki so prav tako pomembno vplivali na denarni tok v tem obdobju. Te sestavine skupaj tvorijo celovito sliko finančnega stanja podjetja in strateškega pristopa k upravljanju denarnih tokov.

common:word.in-mln

USD
Growth
TTM202320222021202020192018201720162015201420132012201120102009200820072006

cash-flows.row.net-income

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11.3
15.3
22
38.7
58.8
62.7
-42.4
21
26.8
-24.1
17.1
48.6
27.5
23.3
9.6

cash-flows.row.depreciation-and-amortization

035.218.343.1
41.2
41.8
24.1
25.8
25.8
22.6
26.2
25.7
18.8
16.1
11.5
9.4
9.8
10.4
5.9

cash-flows.row.deferred-income-tax

00-0.6-0.2
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0
0
0
0
0
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0

cash-flows.row.stock-based-compensation

000.60.2
0.3
0.4
0
0
0
0
0
0
0
0
0
0
0
0
0

cash-flows.row.change-in-working-capital

0-13.227.6-17.1
4.8
27.1
58
-17.4
-43
14.6
-46.4
2.2
23.7
11.8
73.3
37.9
44.3
6.8
31

cash-flows.row.account-receivables

0-38.6-12-10.7
8.9
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0
0
0
0
0
0
0
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0
0

cash-flows.row.inventory

0-14.910.817.3
-8.6
-27.2
-12.2
-21.1
2.3
-18.8
26.7
-9.9
1.3
-90.3
22.4
-36.5
16
-12.9
-0.2

cash-flows.row.account-payables

040.428.8-23.7
3.6
68.7
0
0
0
0
0
0
0
0
0
0
0
0
0

cash-flows.row.other-working-capital

0-0.100
0.9
0.7
70.2
3.7
-45.3
33.4
-73.1
12.1
22.4
102.1
50.9
74.4
28.3
19.7
31.2

cash-flows.row.other-non-cash-items

08.334.42.7
1.2
0.2
-1.3
-23.4
-1.5
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51.8
-19.1
-23.2
24.3
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5
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-0.4

cash-flows.row.net-cash-provided-by-operating-activities

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cash-flows.row.investments-in-property-plant-an-equipment

0-3.6-8.5-23.4
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-29.1
-27.4
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-27.1
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-12
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cash-flows.row.acquisitions-net

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2.2
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0
48.9
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-0.1
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0

cash-flows.row.purchases-of-investments

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0
0
0
0
0
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0
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2.1
0

cash-flows.row.sales-maturities-of-investments

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0
0
0
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0
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0.1
0.1

cash-flows.row.other-investing-activites

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-26.8
0.1
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0.3
1.8
-0.1
20.5
0
0.2
0.1
148.1
0
80.3
0.4
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cash-flows.row.net-cash-used-for-investing-activites

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40.3
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75.3
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cash-flows.row.debt-repayment

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0
0
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cash-flows.row.common-stock-issued

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58.3
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75.6
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20.6
0
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0

cash-flows.row.common-stock-repurchased

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cash-flows.row.dividends-paid

0-10.9-7.3-5.4
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0
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0

cash-flows.row.other-financing-activites

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0.1
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0.1
0.1
30.1
-0.1
308.7
215.6
48.3
0
111.5
5.2
21.8
8.2
14.6

cash-flows.row.net-cash-used-provided-by-financing-activities

0-28.3-29.3-108.5
70.4
-57.6
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-29.7
-20.4
-35.2
-80.3
118.4
-77.3
-35
61.2
14.5
10.5
-0.7
7.4

cash-flows.row.effect-of-forex-changes-on-cash

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0
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5
-1.2
0.4
0.1
8.9
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0

cash-flows.row.net-change-in-cash

0-22.251.5-59.1
97.4
5
48.8
-43.8
-61.1
30.4
-45.8
49.2
-65.7
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54.1
87.2
-84.5
18.1
47.1

cash-flows.row.cash-at-end-of-period

0138.4160.6109.1
168.2
70.8
65.8
17
60.8
121.9
91.5
137.3
88.1
153.8
187.8
133.7
46.5
131
112.9

cash-flows.row.cash-at-beginning-of-period

0160.6109.1168.2
70.8
65.8
17
60.8
121.9
91.5
137.3
88.1
153.8
187.8
133.7
46.5
131
112.9
65.8

cash-flows.row.operating-cash-flow

09.677.940
58.3
84.4
102.8
23.7
40.1
85.6
-10.8
29.8
46.1
28.1
88.7
100.9
-18.1
39
46.1

cash-flows.row.capital-expenditure

0-3.6-8.5-23.4
-27.1
-21.2
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-40.2
-35.8
-19.8
-29.1
-27.4
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-27.1
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-12
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-2.4

cash-flows.row.free-cash-flow

0669.416.6
31.2
63.2
82
-16.5
4.3
65.8
-39.9
2.4
23.3
1
72.6
88.9
-23
33.1
43.7

Vrstica izkaza poslovnega izida

Prihodki Oriola Oyj so se v primerjavi s prejšnjim obdobjem spremenili za NaN%. Bruto dobiček podjetja OKDAV.HE znaša NaN. Odhodki iz poslovanja podjetja so NaN in so se v primerjavi s prejšnjim letom spremenili za NaN%. Odhodki za amortizacijo znašajo NaN, kar je NaN% sprememba glede na zadnje obračunsko obdobje. Stroški poslovanja so sporočeni v višini NaN, ki kaže NaN% spremembo glede na preteklo leto. Stroški prodaje in trženja znašajo NaN, kar pomeni NaN% spremembo v primerjavi s preteklim letom. EBITDA na podlagi zadnjih podatkov znaša NaN in predstavlja NaN% rast v primerjavi s preteklim letom. Prihodki iz poslovanja so NaN, ki kažejo NaN% spremembo v primerjavi s preteklim letom. Sprememba čistih prihodkov je NaN%. Čisti prihodki v zadnjem letu so znašali NaN.

common:word.in-mln

USD
Growth
TTM202320222021202020192018201720162015201420132012201120102009200820072006

income-statement-row.row.total-revenue

01493.81515.51882.4
1800.8
1721.3
1552.2
1527.7
1642.1
1626.3
1612.3
2598.5
2474.4
2146
1929.4
1713.1
1580.8
1377.3
662.7

income-statement-row.row.cost-of-revenue

01501.91329.81498.4
1438.8
1364.4
1203.5
1174.2
1291.6
1298.4
1287.9
2199.4
2117.8
1830.1
1668.2
1462.9
1370
1232
592

income-statement-row.row.gross-profit

0-8.1185.7384
362
356.9
348.7
353.5
350.5
327.9
324.4
399.1
356.6
315.9
261.2
250.2
210.8
145.3
70.7

income-statement-row.row.gross-profit-ratio

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Pogosto zastavljeno vprašanje

Kaj je Oriola Oyj (OKDAV.HE) skupna sredstva?

Oriola Oyj (OKDAV.HE) skupna sredstva so 934700000.000.

Kakšen je letni prihodek podjetja?

Letni prihodki so N/A.

Kolikšna je stopnja dobička podjetja?

Dobiček podjetja je 0.057.

Kakšen je prosti denarni tok podjetja?

Prosti denarni tok je 0.205.

Kolikšna je neto stopnja dobička podjetja?

Čista stopnja dobička je -0.016.

Kolikšni so skupni prihodki podjetja?

Celotni prihodki so -0.003.

Kaj je Oriola Oyj (OKDAV.HE) čisti dobiček (čisti dobiček)?

Čisti dobiček (čisti prihodek) je -20700000.000.

Kolikšen je skupni dolg podjetja?

Skupni dolg je 117800000.000.

Kolikšni so stroški poslovanja?

Stroški poslovanja so -2900000.000.

Kolikšno je število denarnih sredstev podjetja?

Denarna sredstva podjetja so 0.000.