Olav Thon Eiendoms NOK1.00
Olav Thon Eiendoms NOK1.00
2,51 %
147,00 NOK
3,60
Noter.
147,00
Høy
148,00
Endring
2,51 %
Lav
144,20
Oppdatert
14:05:42
Åpen
144,20
Factsheet for Olav Thon Eiendoms NOK1.00
Company Profile
Description
Olav Thon Eiendomsselskap is a general real estate company that operates in two segments: shopping centers and commercial property. The vast majority of revenue is derived from its shopping centers segment. Olav generates most of its revenue in Norway, followed by Sweden. The company aims to realize portfolio returns through active development, effective management, and satisfied tenants. The company considers merger and acquisition investment as a component of its operational growth strategy.
Key Stats
Website: http://www.olt.no
Headquarter country: Norway
Employees: 380
Market Cap (at close 27.08.2019): NOK 15B
Fiscal Year Ends: desember
Stats

Stats 2018 2017 2016 2015 2014
Price/Earnings 5,80 4,00 5,60 5,30 12,00
Forward Price/Earnings 0,60
Price/Free Cash Flow 17,60 25,60 10,50 2 159,30 91,30
Return on Assets 4,40 6,20 7,40 8,80 3,20
Return on Equity 10,00 15,10 18,60 23,40 8,80
Return on Invested Capital 6,40 8,80 10,40 12,50 5,50
Dividend


Dividend/Share:2,20
Ex. Dividend Date:31.12.2018
Trailing Dividend Yield:3,10
Payout Ratio:24,73
Date Currency Amount
30.06.2019 NOK 4,40
30.06.2018 NOK 2,20
30.06.2017 NOK 2,00
30.06.2016 NOK 1,80
30.06.2015 NOK 1,60
30.06.2014 NOK 1,40
Income Statement

Revenue 2018 2017 2016 2015 2014
Total Revenue 3 702,00 3 615,00 3 425,00 3 096,00 2 840,00
Gross Profit 2,49 2,46 2,24 2,02 1,88
Gross Margin % 67,21% 68,05% 65,46% 65,34% 66,30%
Operating Expenses 2018 2017 2016 2015 2014
EBITDA 3 533,00 4 886,00 5 199,00 5 066,00 2 218,00
Net income 2 516,00 3 406,00 3 582,00 3 685,00 1 172,00
Basic Earnings Per Share 23,79 32,00 34,00 34,62 11,01
Operating Income 2,30 2,30 2,09 1,91 1,78
Operating Margin % 62,07% 63,68% 61,14% 61,53% 62,50%
Cash Flow

Cash Flow 2018 2017 2016 2015 2014
Operating Cash Flow 1 587,00 1 626,00 1 796,00 1 005,00 1 182,00
Capital Expenditures -1 161,00 -1 452,00 -962,00 -459,00 -866,00
Free Cash Flow 426,00 174,00 834,00 546,00 316,00
Balance Sheet

Assets 31.12.2018 31.12.2017 31.12.2016 31.12.2015 31.12.2014
Current Assets 1 349,00 1 415,00 1 342,00 1 040,00 714,00 881,00
Long Term Assets 57 225,00 55 078,00 51 187,00 43 750,00 38 166,00 33 899,00
Total Assets 58 573,00 56 493,00 52 529,00 44 789,00 38 880,00 34 780,00
Liabilities 31.12.2018 31.12.2017 31.12.2016 31.12.2015 31.12.2014
Total Current Liabilities 7 882,00 9 267,00 6 122,00 2 647,00 5 137,00 7 241,00
Long Term Liabilities 25 457,00 24 532,00
Total Liabilities 31 579,00 27 179,00
Equity 31.12.2018 31.12.2017 31.12.2016 31.12.2015 31.12.2014
Retained Earnings 23 681,00 20 558,00 17 187,00 13 496,00 12 440,00
Treasury Stock
Total Stockholder Equity 26 330,00 24 062,00 20 950,00 17 611,00 13 920,00 12 864,00
Net Tangible Assets 26 323,00 24 054,00 20 942,00 17 602,00 13 913,00 12 857,00