Kontron
XTRA:SANT
19,22
€-0,18 (-0,93%)
19,22
€-0,18 (-0,93%)
End-of-day quote: 03/23/2026

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

€1,51
Earnings Per Share
€27,44
Revenue Per Share
43,20%
Gross Margin %
€1,18 B
Market Cap
€0,31 B
Long-Term Debt
Earnings Per Share
€1,51
Revenue Per Share
€27,44
Gross Margin %
43,20%
Market Cap
€1,18 B
Long-Term Debt
€0,31 B

Financials

Year Year 2024 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2006
EPS Earnings Per Share €1,51 €1,15 €-0,19 €0,74 €0,84 €0,73 €0,70 €0,43 €0,32 €0,36 €0,32 €0,30 €0,27 €0,30 €0,19 €-3,86
Earnings Earnings €92,70M €71,01M €-12,09M €47,09M €54,29M €47,68M €46,26M €27,28M €15,66M €15,78M €13,85M €11,80M €10,62M €7,24M €4,22M €-21,04M
RPS Revenue Per Share €27,44 €19,85 €17,23 €21,09 €19,42 €17,19 €14,99 €13,90 €10,29 €10,68 €8,91 €8,59 €8,63 €6,35 €3,64 €11,69
Revenue Revenue €1,68B €1,23B €1,10B €1,34B €1,25B €1,12B €990,88M €882,00M €503,69M €468,20M €385,50M €337,94M €339,50M €153,24M €80,72M €63,69M
OCF Operating Cash Flow €98,98M €116,86M €44,44M €95,30M €140,80M €83,39M €35,54M €44,91M €61,38M €26,68M €20,61M €11,10M €10,62M €0,48M €-3,51M €0,00M
FCF Free Cash Flow €27,76M €59,58M €3,95M €48,30M €106,90M €56,29M €10,44M €21,90M €52,09M €17,19M €14,82M €5,32M €7,47M €0,48M €-0,29M €0,00M
OM Operating Margin 6,54% 5,72% 1,94% 2,54% 4,90% 4,91% 5,40% 3,74% 3,87% 3,52% 3,05% 2,83% 1,94% 3,69% 4,55% -43,66%
GM % Gross Margin % 43,20% 39,25% 37,64% 37,05% 37,20% 37,16% 35,95% 36,67% 33,90% 34,31% 33,21% 33,09% 34,13% 29,86% 24,63% -15,98%
FCFS Free Cash Flow Per Share €0,45 €1,12 €0,06 €0,75 €1,64 €0,85 €0,16 €0,42 €1,18 €0,40 €0,36 €0,14 €0,43 €0,02 €-0,18 €-0,85
LT Debt Long-Term Debt €305,76M €60,14M €193,77M €238,38M €218,85M €219,98M €79,43M €68,69M €74,15M €28,09M €26,15M €23,92M €6,98M €19,29M €6,38M N/A
Sha. Stocks 61,39M 61,75M 63,63M 63,63M 64,63M 65,31M 66,09M 63,44M 48,93M 43,84M 43,27M 39,34M 39,34M 24,13M 22,2M 5,45M
×