Konecranes OYJ
Konecranes OYJ
1.74 %
29.27 EUR
0.50
Quote
29.27
High
29.59
Change
1.74 %
Low
28.82
Updated
13:22:07
Open
29.00
News about Konecranes OYJ
Factsheet for Konecranes OYJ
Company Profile
Description
Konecranes Oyj provides lifting equipment and services for manufacturing industries, shipyards, ports, and terminals. It offers cranes, material handling solutions, and other components geared toward transporting and organizing supplies. Workstation lifting systems, trucks, and various hoists include advanced technologies to increase control and equipment capabilities. Products are marketed through various brands, and sales offices are in multiple regions. The company's global service network provides a full range of service solutions, specialized maintenance, and modernization services for equipment and tools. Inspections, spare parts, and preventive maintenance programs enhance efficiencies and extend product lifecycles.
Key Stats
Website: http://www.konecranes.com
Headquarter country: Finland
Employees: 12,100
Market Cap (at close 23/01/2019): EUR 2B
Fiscal Year Ends: December
Stats

Stats 2018 2017 2016 2015 2014
Price/Earnings 25.40 13.60 49.70 28.30 20.70
Forward Price/Earnings 8.40 20.60
Price/Free Cash Flow 41.20 12.80 37.70 50.30 12.20
Return on Assets 8.90 2.50 2.10 5.00
Return on Equity 26.50 8.30 6.80 16.80
Return on Invested Capital 18.00 5.80 5.10 11.20
Dividend


Dividend/Share:1.10
Ex. Dividend Date:31/12/2017
Trailing Dividend Yield:3.05
Payout Ratio:0.00
Date Currency Amount
31/03/2017 EUR 1.05
31/03/2016 EUR 1.05
31/03/2015 EUR 1.05
31/03/2014 EUR 1.05
31/03/2013 EUR 1.05
Income Statement

Revenue 2018 2017 2016 2015 2014
Total Revenue 3,136.40 2,118.40 2,126.20 2,011.40
Gross Profit 1.73 1.14 1.16 1.07
Gross Margin % 55.07% 53.76% 54.38% 53.36%
Operating Expenses 2018 2017 2016 2015 2014
EBITDA 428.00 127.00 121.00 164.00
Net income 226.00 38.00 31.00 74.00
Basic Earnings Per Share 2.88 0.64 0.53 1.28
Operating Income 0.11 0.14 0.09 0.11
Operating Margin % 3.53% 6.40% 4.02% 5.70%
Cash Flow

Cash Flow 2018 2017 2016 2015 2014
Operating Cash Flow 249.00 110.00 39.00 148.00
Capital Expenditures -29.00 -27.00 -43.00 -42.00
Free Cash Flow 221.00 82.00 -4.00 106.00
Balance Sheet

Assets 31/12/2018 31/12/2017 31/12/2016 31/12/2015 31/12/2014
Current Assets 1,553.50 1,133.30 979.10 977.03 999.35
Long Term Assets 2,009.60 396.60 505.70 500.40 482.70
Total Assets 3,562.90 1,529.90 1,484.90 1,477.37 1,482.05
Liabilities 31/12/2018 31/12/2017 31/12/2016 31/12/2015 31/12/2014
Total Current Liabilities 1,230.80 866.40 839.80 700.05 758.84
Long Term Liabilities 1,075.10 218.30 189.20
Total Liabilities 2,306.00 1,084.50 1,029.00
Equity 31/12/2018 31/12/2017 31/12/2016 31/12/2015 31/12/2014
Retained Earnings 383.90 242.00 279.20 332.47 331.41
Treasury Stock
Total Stockholder Equity 1,256.90 445.40 455.90 449.17 438.14
Net Tangible Assets -281.70 261.20 238.90 242.67 249.64