Orion Oyj

HEL:ORNBV.HE

37.63 (EUR) • At close November 17, 2023
Overview | Financials

Numbers are in millions (except for per share data and ratios) EUR.

20232022202120202019201820172016201520142013201220112010200920082007200620052004
Operating Activities:
Net Income 216.8440.3242.3278.3252.8387.3293314.6266.6272.4267.7280.9282.9254.2151.4136.319490.9181.1132.2
Depreciation & Amortization 51.547.545.856.556.141.742.340.641.839.638.54042.538.934.431.631.617.247.757
Deferred Income Tax -12.2-16-7.6-6.6-8.9000000000000000
Stock Based Compensation 12.2167.66.68.95.64.18.37.26.14.85.200000000
Change In Working Capital -144.8-25-36.325.115-13.7-34.6-26.8-5.648-21.9-31.4-42.6-27.515.3-15-1622.5-3.238
Accounts Receivables -8911-21.733-0.24.40.6-7.8-206.5-35.1-0.200000000
Inventory -47.9-4.1-6.9-29-8-10.62-21.2-27.315.3-16.6-27.8-20.4-8.29.1-10.7-13.93.214.751.8
Accounts Payables -7.9-31.9-7.723.122.7-3.9-41.6-432.400000000000
Other Working Capital -7.900-20.5-3.1-36.6-5.621.732.7-5.3-3.6-22.2-19.36.2-4.3-2.119.3-17.9-13.8
Other Non Cash Items -16.7-28.4-36.1-60.8-53.1-184.4-72.3-79.3-47.9-63.3-69.1-68.5-83.9-56.53.5-8.5-58.7-49-52.3-41.9
Operating Cash Flow 119434.4215.7299.1270.8230.9228.4249.1254.9296.7215.2221198.9209.1204.6144.4150.981.6173.3185.3
Investing Activities:
Investments In Property Plant And Equipment -116.8-73.1-85-40.7-36.2-66.8-76.5-47.7-43.2-56.4-73.3-49.1-45.5-35.4-60.7-53.8-31-12.3-30.3-29.3
Acquisitions Net 8.4-824.711.4161.31.626.610000.3-1.3000008.7
Purchases Of Investments 0000000000000000000-0.4
Sales Maturities Of Investments 00000000000000000000.2
Other Investing Activites -42.70.80.1-5.70.80.91.626.611.5221.35.91.229.512.39.50.1
Investing Cash Flow -108.4-154.3-80.2-39.7-3495.4-74.9-21.1-42.2-54.9-71.3-47.1-43.9-30.8-59.5-51.8-21.5-12.3-20.8-20.7
Financing Activities:
Debt Repayment -18.4-20-6.5-5.6-154.2-2.6-3.5-38.2-48.9-26.2-70.6-28.6-42.2-23-41.10-7.2-1.4-32.7-6.1
Common Stock Issued 0000000000190.6000.6000043.415.6
Common Stock Repurchased 0-17.900-7.400-16.800-9.600-4.60000-0.816.6
Dividends Paid -224.8-211.2-211.2-211.1-211.2-203.9-218-183.6-183.3-176.2-183.7-199.9-177.5-155.3-134.4-141.100-74.2-251.1
Other Financing Activities 0.189.32.9101.61.41.21.21.21.41.9-0.276.1200.123.4136.3-141.30-34.327.2
Financing Cash Flow -243.2-159.8-214.8-115.1-371.4-205.3-220.3-237.4-230.8-200.5-73.5-152.4-199.7-182.2-152.1-4.8-148.5-1.4-98.6-197.8
Other Information:
Effect Of Forex Changes On Cash 6.6-4.41.61.1-0.1-1.5-1-3.94.82.6-0.90.80.50.71.4-2.1-0.512.3-1.40.5
Net Change In Cash -225.9115.9-77.7145.4-134.7119.6-67.8-13.3-13.343.869.522.2-44.2-3.3-5.685.7-19.680.252.6-32.7
Cash At End Of Period 106.7332.6216.7294.4149283.7164.1231.9245.2258.5214.7145.2123167.2170.5176.190.4110159.5106.9