Koenig & Bauer
XTRA:SKB
8,12
€-0,58 (-6,67%)
8,12
€-0,58 (-6,67%)
End-of-day quote: 03/27/2026

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

€-0,81
Earnings Per Share
-
Revenue Per Share
26,15%
Gross Margin %
€0,13 B
Market Cap
€0,27 B
Long-Term Debt
Earnings Per Share
€-0,81
Revenue Per Share
-
Gross Margin %
26,15%
Market Cap
€0,13 B
Long-Term Debt
€0,27 B

Financials

Year Year 2025 2024 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010
EPS Earnings Per Share €-0,81 €-1,19 €0,16 €0,63 €0,83 €-3,29 €1,94 €3,57 €4,56 €3,52 €1,62 €0,06 €0,09 €0,76 €0,02 €0,76
Earnings Earnings €-13,38M €-19,66M €2,64M €10,41M €13,71M €-54,35M €32,05M €58,98M €75,33M €58,15M €26,76M €0,99M €1,49M €12,53M €0,33M €12,51M
RPS Revenue Per Share N/A €77,14 €80,31 €71,77 €67,54 €62,26 €73,76 €74,21 €73,70 €70,65 €62,05 €66,59 €66,57 €78,47 €70,78 €71,69
Revenue Revenue €1,30B €1,27B €1,33B €1,19B €1,12B €1,03B €1,22B €1,23B €1,22B €1,17B €1,03B €1,10B €1,10B €1,29B €1,17B €1,18B
OCF Operating Cash Flow €50,23M €73,40M €-31,80M €5,40M €95,00M €12,20M €-7,90M €66,30M €23,80M €21,90M €-15,30M €43,20M €34,10M €83,30M €83,90M €30,10M
FCF Free Cash Flow €13,30M €20,90M €-6,87M €-38,60M €62,60M €-27,10M €-97,20M €-19,50M €-59,60M €-9,60M €-37,80M €24,80M €12,70M €61,20M €48,20M €14,70M
OM Operating Margin 2,42% -2,97% 2,32% 2,06% 2,68% -1,80% 3,60% 6,84% 5,97% 4,13% 1,03% 0,75% 1,40% 2,75% -0,04% 0,96%
GM % Gross Margin % 26,15% 23,15% 26,19% 26,77% 26,72% 19,53% 26,25% 29,00% 30,02% 29,70% 26,78% 27,02% 26,04% 26,64% 23,31% 26,59%
FCFS Free Cash Flow Per Share €0,00 €1,83 €-5,08 €-2,34 €3,79 €-1,64 €-5,88 €0,99 €-1,49 €-0,58 €-2,29 €1,50 €0,61 €3,68 €2,93 €0,89
LT Debt Long-Term Debt €274,40M €266,20M €191,20M €136,40M €92,40M €140,70M €175,90M €1,00M €1,00M €1,40M N/A N/A N/A N/A €8,00M €8,80M
Sha. Stocks 16,52M 16,52M 16,52M 16,52M 16,52M 16,52M 16,52M 16,52M 16,52M 16,52M 16,52M 16,52M 16,52M 16,49M 16,49M 16,46M
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