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OUTKY OUTOKUMPU OYJ ADR EACH REPR 0.5 ORD UNSPON (POST R/S)

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  • 1.980
  • 0.0000.00%
15min DelayClose May 21 16:00 ET
1.68BMarket Cap-7021P/E (TTM)

OUTOKUMPU OYJ ADR EACH REPR 0.5 ORD UNSPON (POST R/S) Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
(Q2)Jun 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
-40.59%467M
-3.64%529M
-3.64%529M
-22.26%447M
-34.07%478M
20.74%786M
67.38%549M
67.38%549M
37.89%575M
129.43%725M
-Cash and cash equivalents
-40.48%425M
-4.56%502M
-4.56%502M
-21.08%367M
-13.53%409M
36.00%714M
75.33%526M
75.33%526M
34.78%465M
84.05%473M
-Short-term investments
-41.67%42M
17.39%27M
17.39%27M
-27.27%80M
-72.62%69M
-42.86%72M
-17.86%23M
-17.86%23M
52.78%110M
327.12%252M
-Accounts receivable
-30.02%613M
-14.33%508M
-14.33%508M
-13.07%738M
-25.93%854M
-21.72%876M
-0.67%593M
-0.67%593M
6.13%849M
40.27%1.15B
-Taxes receivable
----
-32.17%78M
-32.17%78M
----
----
----
29.21%115M
29.21%115M
----
----
-Other receivables
----
-28.57%25M
-28.57%25M
----
----
----
-53.33%35M
-53.33%35M
----
----
Inventory
-10.64%1.62B
-11.69%1.56B
-11.69%1.56B
-8.74%1.72B
-21.32%1.85B
-13.82%1.81B
-6.00%1.77B
-6.00%1.77B
14.78%1.89B
63.87%2.35B
Prepaid assets
----
4.55%23M
4.55%23M
----
----
----
22.22%22M
22.22%22M
----
----
Restricted cash
----
28.57%18M
28.57%18M
----
----
----
-6.67%14M
-6.67%14M
----
----
Total current assets
-22.30%2.7B
-21.89%2.78B
-21.89%2.78B
-22.31%2.91B
-24.77%3.18B
-10.30%3.48B
17.16%3.56B
17.16%3.56B
30.79%3.74B
64.38%4.22B
Non current assets
Net PPE
-12.19%2.06B
-14.68%2.05B
-14.68%2.05B
-7.09%2.31B
-9.48%2.31B
-7.78%2.35B
-6.57%2.41B
-6.57%2.41B
-4.90%2.48B
-2.78%2.55B
-Gross PPE
----
0.57%6.41B
0.57%6.41B
-7.09%2.31B
-9.48%2.31B
-7.78%2.35B
-3.69%6.37B
-3.69%6.37B
-4.90%2.48B
-2.78%2.55B
-Accumulated depreciation
----
-9.81%-4.35B
-9.81%-4.35B
----
----
----
1.86%-3.97B
1.86%-3.97B
----
----
Goodwill and other intangible assets
2.92%564M
1.65%555M
1.65%555M
-1.43%551M
-4.02%549M
-4.53%548M
-5.37%546M
-5.37%546M
-6.05%559M
-4.51%572M
-Goodwill
----
0.22%457M
0.22%457M
----
----
----
-1.94%456M
-1.94%456M
----
----
-Other intangible assets
----
8.89%98M
8.89%98M
----
----
----
-19.64%90M
-19.64%90M
----
----
Defined pension benefit
----
----
----
----
----
----
----
----
--0
--0
Other non current assets
0.00%1M
-50.00%1M
-50.00%1M
---1M
----
--1M
300.00%2M
300.00%2M
----
----
Total non current assets
-4.24%3.18B
-8.09%3.15B
-8.09%3.15B
2.55%3.33B
-1.30%3.33B
-1.25%3.33B
-0.55%3.43B
-0.55%3.43B
-9.70%3.25B
-6.77%3.38B
Total assets
-13.47%5.89B
-15.12%5.93B
-15.12%5.93B
-10.73%6.24B
-14.35%6.51B
-6.10%6.8B
7.73%6.98B
7.73%6.98B
8.22%6.99B
22.77%7.6B
Liabilities
Current liabilities
Payables
-27.02%1.33B
-18.31%1.15B
-18.31%1.15B
-16.13%1.33B
-35.43%1.56B
-28.36%1.82B
-28.69%1.41B
-28.69%1.41B
-16.30%1.58B
35.46%2.42B
-accounts payable
-27.02%1.33B
-10.25%1.09B
-10.25%1.09B
-16.13%1.33B
-35.43%1.56B
-28.36%1.82B
-32.85%1.21B
-32.85%1.21B
-16.30%1.58B
35.46%2.42B
-Total tax payable
----
-73.37%49M
-73.37%49M
----
----
----
14.29%184M
14.29%184M
----
----
-Other payable
----
6.67%16M
6.67%16M
----
----
----
15.38%15M
15.38%15M
----
----
Current provisions
-15.00%34M
15.63%37M
15.63%37M
-21.62%29M
-14.29%30M
37.93%40M
10.34%32M
10.34%32M
311.11%37M
218.18%35M
Current debt and capital lease obligation
-39.24%48M
-46.43%45M
-46.43%45M
-72.30%41M
-81.51%44M
-67.62%79M
-24.32%84M
-24.32%84M
-1.33%148M
27.96%238M
-Current debt
----
-65.96%16M
-65.96%16M
----
----
----
-40.51%47M
-40.51%47M
----
----
-Current capital lease obligation
----
-21.62%29M
-21.62%29M
----
----
----
15.63%37M
15.63%37M
----
----
Other current liabilities
----
34.78%31M
34.78%31M
----
----
----
-14.81%23M
-14.81%23M
----
----
Current liabilities
-27.28%1.43B
-29.51%1.47B
-29.51%1.47B
-29.80%1.43B
-40.48%1.66B
-34.90%1.97B
-12.12%2.08B
-12.12%2.08B
-2.40%2.03B
39.14%2.79B
Non current liabilities
Long term provisions
21.05%69M
48.98%73M
48.98%73M
-2.00%49M
-18.18%54M
-5.00%57M
-22.22%49M
-22.22%49M
-10.71%50M
11.86%66M
Long term debt and capital lease obligation
-21.79%366M
-26.88%359M
-26.88%359M
-28.71%355M
-32.25%355M
-18.61%468M
-17.89%491M
-17.89%491M
-47.19%498M
-45.87%524M
-Long term debt
----
-38.79%213M
-38.79%213M
----
----
----
-21.09%348M
-21.09%348M
----
----
-Long term capital lease obligation
----
2.10%146M
2.10%146M
----
----
----
-8.92%143M
-8.92%143M
----
----
Non current accrued expenses
----
-20.00%16M
-20.00%16M
----
----
----
-13.04%20M
-13.04%20M
----
----
Derivative product liabilities
----
-27.27%8M
-27.27%8M
----
----
----
450.00%11M
450.00%11M
----
----
Other non current liabilities
---1M
75.00%-1M
75.00%-1M
0.00%-1M
100.00%2M
----
-100.00%-4M
-100.00%-4M
---1M
200.00%1M
Total non current liabilities
-9.80%690M
-10.86%698M
-10.86%698M
-15.21%680M
-18.23%704M
-18.27%765M
-21.23%783M
-21.23%783M
-40.10%802M
-37.24%861M
Total liabilities
-22.40%2.12B
-24.41%2.17B
-24.41%2.17B
-25.67%2.11B
-35.24%2.37B
-30.97%2.74B
-14.81%2.86B
-14.81%2.86B
-17.17%2.83B
8.14%3.66B
Shareholders'equity
Share capital
0.00%311M
0.00%311M
0.00%311M
0.00%311M
0.00%311M
0.00%311M
0.00%311M
0.00%311M
0.00%311M
0.00%311M
-common stock
0.00%311M
0.00%311M
0.00%311M
0.00%311M
0.00%311M
0.00%311M
0.00%311M
0.00%311M
0.00%311M
0.00%311M
Retained earnings
-33.78%741M
-43.74%593M
-43.74%593M
30.71%1.13B
76.87%1.19B
294.01%1.12B
1,271.11%1.05B
1,271.11%1.05B
1,562.71%863M
378.01%670M
Paid-in capital
0.00%714M
-0.42%714M
-0.42%714M
0.00%714M
0.00%714M
0.00%714M
0.00%717M
0.00%717M
0.00%714M
0.00%714M
Less: Treasury stock
32.50%159M
31.01%169M
31.01%169M
310.34%119M
313.79%120M
313.79%120M
330.00%129M
330.00%129M
-3.33%29M
-3.33%29M
Other equity interest
-100.04%-1M
----
----
-100.04%-1M
-100.04%-1M
0.09%2.31B
----
----
0.04%2.31B
0.09%2.31B
Total stockholders'equity
-7.46%3.76B
-8.67%3.76B
-8.67%3.76B
-0.55%4.14B
5.02%4.14B
23.98%4.06B
32.02%4.12B
32.02%4.12B
36.78%4.16B
40.37%3.94B
Total equity
-7.46%3.76B
-8.67%3.76B
-8.67%3.76B
-0.55%4.14B
5.02%4.14B
23.98%4.06B
32.02%4.12B
32.02%4.12B
36.78%4.16B
40.37%3.94B
Currency Unit
EUR
EUR
EUR
EUR
EUR
EUR
EUR
EUR
EUR
EUR
(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022(Q2)Jun 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments -40.59%467M-3.64%529M-3.64%529M-22.26%447M-34.07%478M20.74%786M67.38%549M67.38%549M37.89%575M129.43%725M
-Cash and cash equivalents -40.48%425M-4.56%502M-4.56%502M-21.08%367M-13.53%409M36.00%714M75.33%526M75.33%526M34.78%465M84.05%473M
-Short-term investments -41.67%42M17.39%27M17.39%27M-27.27%80M-72.62%69M-42.86%72M-17.86%23M-17.86%23M52.78%110M327.12%252M
-Accounts receivable -30.02%613M-14.33%508M-14.33%508M-13.07%738M-25.93%854M-21.72%876M-0.67%593M-0.67%593M6.13%849M40.27%1.15B
-Taxes receivable -----32.17%78M-32.17%78M------------29.21%115M29.21%115M--------
-Other receivables -----28.57%25M-28.57%25M-------------53.33%35M-53.33%35M--------
Inventory -10.64%1.62B-11.69%1.56B-11.69%1.56B-8.74%1.72B-21.32%1.85B-13.82%1.81B-6.00%1.77B-6.00%1.77B14.78%1.89B63.87%2.35B
Prepaid assets ----4.55%23M4.55%23M------------22.22%22M22.22%22M--------
Restricted cash ----28.57%18M28.57%18M-------------6.67%14M-6.67%14M--------
Total current assets -22.30%2.7B-21.89%2.78B-21.89%2.78B-22.31%2.91B-24.77%3.18B-10.30%3.48B17.16%3.56B17.16%3.56B30.79%3.74B64.38%4.22B
Non current assets
Net PPE -12.19%2.06B-14.68%2.05B-14.68%2.05B-7.09%2.31B-9.48%2.31B-7.78%2.35B-6.57%2.41B-6.57%2.41B-4.90%2.48B-2.78%2.55B
-Gross PPE ----0.57%6.41B0.57%6.41B-7.09%2.31B-9.48%2.31B-7.78%2.35B-3.69%6.37B-3.69%6.37B-4.90%2.48B-2.78%2.55B
-Accumulated depreciation -----9.81%-4.35B-9.81%-4.35B------------1.86%-3.97B1.86%-3.97B--------
Goodwill and other intangible assets 2.92%564M1.65%555M1.65%555M-1.43%551M-4.02%549M-4.53%548M-5.37%546M-5.37%546M-6.05%559M-4.51%572M
-Goodwill ----0.22%457M0.22%457M-------------1.94%456M-1.94%456M--------
-Other intangible assets ----8.89%98M8.89%98M-------------19.64%90M-19.64%90M--------
Defined pension benefit ----------------------------------0--0
Other non current assets 0.00%1M-50.00%1M-50.00%1M---1M------1M300.00%2M300.00%2M--------
Total non current assets -4.24%3.18B-8.09%3.15B-8.09%3.15B2.55%3.33B-1.30%3.33B-1.25%3.33B-0.55%3.43B-0.55%3.43B-9.70%3.25B-6.77%3.38B
Total assets -13.47%5.89B-15.12%5.93B-15.12%5.93B-10.73%6.24B-14.35%6.51B-6.10%6.8B7.73%6.98B7.73%6.98B8.22%6.99B22.77%7.6B
Liabilities
Current liabilities
Payables -27.02%1.33B-18.31%1.15B-18.31%1.15B-16.13%1.33B-35.43%1.56B-28.36%1.82B-28.69%1.41B-28.69%1.41B-16.30%1.58B35.46%2.42B
-accounts payable -27.02%1.33B-10.25%1.09B-10.25%1.09B-16.13%1.33B-35.43%1.56B-28.36%1.82B-32.85%1.21B-32.85%1.21B-16.30%1.58B35.46%2.42B
-Total tax payable -----73.37%49M-73.37%49M------------14.29%184M14.29%184M--------
-Other payable ----6.67%16M6.67%16M------------15.38%15M15.38%15M--------
Current provisions -15.00%34M15.63%37M15.63%37M-21.62%29M-14.29%30M37.93%40M10.34%32M10.34%32M311.11%37M218.18%35M
Current debt and capital lease obligation -39.24%48M-46.43%45M-46.43%45M-72.30%41M-81.51%44M-67.62%79M-24.32%84M-24.32%84M-1.33%148M27.96%238M
-Current debt -----65.96%16M-65.96%16M-------------40.51%47M-40.51%47M--------
-Current capital lease obligation -----21.62%29M-21.62%29M------------15.63%37M15.63%37M--------
Other current liabilities ----34.78%31M34.78%31M-------------14.81%23M-14.81%23M--------
Current liabilities -27.28%1.43B-29.51%1.47B-29.51%1.47B-29.80%1.43B-40.48%1.66B-34.90%1.97B-12.12%2.08B-12.12%2.08B-2.40%2.03B39.14%2.79B
Non current liabilities
Long term provisions 21.05%69M48.98%73M48.98%73M-2.00%49M-18.18%54M-5.00%57M-22.22%49M-22.22%49M-10.71%50M11.86%66M
Long term debt and capital lease obligation -21.79%366M-26.88%359M-26.88%359M-28.71%355M-32.25%355M-18.61%468M-17.89%491M-17.89%491M-47.19%498M-45.87%524M
-Long term debt -----38.79%213M-38.79%213M-------------21.09%348M-21.09%348M--------
-Long term capital lease obligation ----2.10%146M2.10%146M-------------8.92%143M-8.92%143M--------
Non current accrued expenses -----20.00%16M-20.00%16M-------------13.04%20M-13.04%20M--------
Derivative product liabilities -----27.27%8M-27.27%8M------------450.00%11M450.00%11M--------
Other non current liabilities ---1M75.00%-1M75.00%-1M0.00%-1M100.00%2M-----100.00%-4M-100.00%-4M---1M200.00%1M
Total non current liabilities -9.80%690M-10.86%698M-10.86%698M-15.21%680M-18.23%704M-18.27%765M-21.23%783M-21.23%783M-40.10%802M-37.24%861M
Total liabilities -22.40%2.12B-24.41%2.17B-24.41%2.17B-25.67%2.11B-35.24%2.37B-30.97%2.74B-14.81%2.86B-14.81%2.86B-17.17%2.83B8.14%3.66B
Shareholders'equity
Share capital 0.00%311M0.00%311M0.00%311M0.00%311M0.00%311M0.00%311M0.00%311M0.00%311M0.00%311M0.00%311M
-common stock 0.00%311M0.00%311M0.00%311M0.00%311M0.00%311M0.00%311M0.00%311M0.00%311M0.00%311M0.00%311M
Retained earnings -33.78%741M-43.74%593M-43.74%593M30.71%1.13B76.87%1.19B294.01%1.12B1,271.11%1.05B1,271.11%1.05B1,562.71%863M378.01%670M
Paid-in capital 0.00%714M-0.42%714M-0.42%714M0.00%714M0.00%714M0.00%714M0.00%717M0.00%717M0.00%714M0.00%714M
Less: Treasury stock 32.50%159M31.01%169M31.01%169M310.34%119M313.79%120M313.79%120M330.00%129M330.00%129M-3.33%29M-3.33%29M
Other equity interest -100.04%-1M---------100.04%-1M-100.04%-1M0.09%2.31B--------0.04%2.31B0.09%2.31B
Total stockholders'equity -7.46%3.76B-8.67%3.76B-8.67%3.76B-0.55%4.14B5.02%4.14B23.98%4.06B32.02%4.12B32.02%4.12B36.78%4.16B40.37%3.94B
Total equity -7.46%3.76B-8.67%3.76B-8.67%3.76B-0.55%4.14B5.02%4.14B23.98%4.06B32.02%4.12B32.02%4.12B36.78%4.16B40.37%3.94B
Currency Unit EUREUREUREUREUREUREUREUREUREUR

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