Kemira Oyj
HLSE:KEMIRA
19,67
+ €0,24 (1,24%)
19,67
+€0,24 (1,24%)
End-of-day quote: 03/30/2026

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

€1,78
Earnings Per Share
€19,15
Revenue Per Share
18,76%
Gross Margin %
€2,91 B
Market Cap
€0,44 B
Long-Term Debt
Earnings Per Share
€1,78
Revenue Per Share
€19,15
Gross Margin %
18,76%
Market Cap
€2,91 B
Long-Term Debt
€0,44 B

Financials

Year Year 2025 2024 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006
EPS Earnings Per Share €1,43 €1,78 €1,87 €1,57 €0,99 €0,96 €0,87 €0,71 €0,66 €0,72 €0,63 €0,63 €0,70 €0,77 €0,88 €0,73 €0,74 €0,26 €0,79 €0,64
Earnings Earnings €213,71M €274,08M €287,27M €240,76M €151,60M €146,80M €132,81M €108,28M €100,55M €109,71M €95,80M €95,79M €106,43M €117,07M €133,79M €110,77M €112,10M €31,51M €95,74M €77,43M
RPS Revenue Per Share €18,42 €19,15 €22,03 €23,28 €17,46 €15,87 €17,42 €17,00 €16,32 €15,51 €15,61 €14,05 €14,66 €14,74 €14,52 €14,24 €16,50 €23,37 €23,19 €20,85
Revenue Revenue €2,75B €2,95B €3,38B €3,57B €2,67B €2,43B €2,66B €2,59B €2,49B €2,36B €2,37B €2,14B €2,23B €2,24B €2,21B €2,16B €2,50B €2,83B €2,81B €2,52B
OCF Operating Cash Flow €408,34M €484,60M €546,00M €400,30M €220,20M €374,70M €386,20M €210,20M €205,10M €270,60M €247,60M €74,20M €200,30M €176,30M €177,70M €133,10M €287,80M €90,20M €172,10M €216,80M
FCF Free Cash Flow €239,00M €314,10M €367,50M €202,40M €50,40M €179,10M €185,20M €59,80M €15,00M €58,00M €-57,50M €-66,90M €65,50M €42,20M €-23,40M €57,90M €0,00M €0,00M €0,00M €0,00M
OM Operating Margin 0,00% 12,33% 9,93% 9,45% 6,37% 8,83% 7,27% 6,14% 5,65% 6,38% 6,16% 5,13% 2,34% 3,72% 6,91% 7,29% 6,11% 3,88% 5,54% 5,92%
GM % Gross Margin % 0,00% 18,76% 15,87% 15,30% 13,97% 17,06% 14,22% 11,69% 13,31% 14,17% 13,24% 11,00% 7,50% 9,68% 12,61% 13,08% 12,72% 9,94% 11,66% 11,42%
FCFS Free Cash Flow Per Share €0,00 €2,06 €2,22 €1,32 €0,34 €1,17 €1,21 €0,39 €0,12 €0,38 €0,46 €-0,44 €0,43 €0,28 €0,52 €0,38 €1,54 €-0,50 €-0,61 €0,44
LT Debt Long-Term Debt €442,20M €442,20M €521,80M €720,10M €668,80M €629,70M €632,20M €646,20M €669,00M €649,40M €670,30M €446,90M €278,10M €387,50M €464,50M €499,10M €512,60M €609,20M €431,10M €395,10M
Sha. Stocks 149,45M 153,98M 153,62M 153,35M 153,13M 152,92M 152,65M 152,51M 152,35M 152,37M 152,06M 152,05M 152,04M 152,04M 152,03M 151,74M 151,49M 121,19M 121,19M 120,99M
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