TORM
CPSE:TRMD A
kr 181,50
kr0,00 (0,00%)
181,50 kr
kr0,00 (0,00%)
End-of-day quote: 04/03/2026

Quick Analysis
The traffic-light system summarizes key characteristics and shows the investment’s quality at a glance.

kr43,18
Earnings Per Share
kr110,84
Revenue Per Share
49,68%
Gross Margin %
kr18,54 B
Market Cap
kr4,54 B
Long-Term Debt
Earnings Per Share
kr43,18
Revenue Per Share
kr110,84
Gross Margin %
49,68%
Market Cap
kr18,54 B
Long-Term Debt
kr4,54 B

Financials

Year Year 2026 2025 2024 2023 2022 2021 2020 2019 2018 2017 2016
EPS Earnings Per Share kr43,18 kr43,18 kr46,35 kr46,10 kr-3,05 kr10,00 kr4,14 kr-2,81 kr0,51 kr4,81
Earnings Earnings kr4,38B kr4,20B kr4,18B kr3,77B kr-246,26M kr743,70M kr308,18M kr-207,69M kr31,61M kr298,17M
RPS Revenue Per Share kr0,00 kr110,84 kr115,41 kr113,61 kr122,53 kr50,16 kr61,15 kr61,95 kr56,05 kr65,72 kr77,27
Revenue Revenue kr0,00M kr11,23B kr11,23B kr10,25B kr10,03B kr4,05B kr4,55B kr4,61B kr4,14B kr4,07B kr4,79B
OCF Operating Cash Flow kr0,00M kr5,96B kr5,96B kr5,43B kr3,49B kr313,16M kr1,43B kr1,14B kr461,20M kr681,11M kr1,21B
FCF Free Cash Flow kr0,00M kr3,43B kr2,77B kr1,99B kr3,57B kr-1,78B kr0,00M kr0,00M kr-858,67M kr-218,68M kr364,36M
OM Operating Margin 0,00% 25,18% 38,96% 42,63% 41,13% 0,99% 19,96% 13,16% 0,81% 6,14% 11,41%
GM % Gross Margin % 0,00% 49,68% 57,44% 57,49% 54,16% 30,37% 45,64% 36,37% 26,66% 30,47% 35,51%
FCFS Free Cash Flow Per Share kr0,00 kr12,24 kr18,72 kr23,77 kr32,71 kr-22,76 kr5,14 kr-19,19 kr-11,75 kr-3,53 kr5,79
LT Debt Long-Term Debt N/A kr4,54B kr7,60B kr882,80M kr847,32M kr922,75M kr733,34M kr746,15M kr651,96M kr629,20M kr593,91M
Sha. Stocks 99,06M 101,33M 97,32M 90,24M 81,82M 80,74M 74,37M 74,44M 73,91M 61,99M 61,99M
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