Otello Corporation
Otello Corporation
0,77 %
15,70 NOK
0,12
Noter.
15,70
Høy
15,70
Endring
0,77 %
Lav
15,26
Oppdatert
14:40:52
Åpen
15,50
Factsheet for Otello Corporation
Company Profile
Description
Otello Corp ASA Norway-based company engaged in the development of Internet browsers for the desktop, device and mobile markets. The operating segments of the company are Mobile Advertising, Apps and Games, Performance and Privacy and Corporate costs. Mobile advertising segment consists of mobile advertising and marketing platforms, primarily AdColony, providing end-to-end platforms for brands, agencies, publishers and application developers. Apps & Games segment consists primarily of Bemobi's app subscription services which include Apps Club Family and mobile couponing. Performance & Privacy segment consists of the SurfEasy and Skyfire businesses which offer VPN for mobile and desktop and data compression technology.
Key Stats
Website: https://www.otellocorp.com
Headquarter country: Norway
Employees: 938
Market Cap (at close 27.08.2019): NOK
Fiscal Year Ends: desember
Stats

Stats 2018 2017 2016 2015 2014
Price/Earnings 23,80 24,40
Forward Price/Earnings 54,90
Price/Free Cash Flow 41,00 39,30 29,60 45,90
Return on Assets -17,10 -4,90 48,90 -6,00 -8,70
Return on Equity -22,50 -7,30 97,50 -14,20 -17,10
Return on Invested Capital -22,20 -5,00 79,60 -6,70 -12,70
Dividend


Dividend/Share:0,00
Ex. Dividend Date:31.12.2015
Trailing Dividend Yield:0,39
Payout Ratio:0,00
Date Currency Amount
30.06.2015 USD 0,03
30.06.2014 USD 0,04
30.06.2013 USD 0,04
Income Statement

Revenue 2018 2017 2016 2015 2014
Total Revenue 275,30 419,00 536,70 615,80 480,80
Gross Profit 0,11 0,17 0,23 0,37 0,34
Gross Margin % 41,52% 40,43% 42,03% 59,73% 71,34%
Operating Expenses 2018 2017 2016 2015 2014
EBITDA -84,00 -13,00 22,00 57,00 48,00
Net income -93,00 -36,00 426,00 -51,00 -58,00
Basic Earnings Per Share -0,66 -0,25 2,91 -0,36 -0,42
Operating Income -0,02 -0,03 -0,01 0,04 0,04
Operating Margin % -8,86% -7,33% -1,36% 6,59% 7,92%
Cash Flow

Cash Flow 2018 2017 2016 2015 2014
Operating Cash Flow 0,00 8,00 3,00 56,00 59,00
Capital Expenditures -12,00 -25,00 -26,00 -24,00 -26,00
Free Cash Flow -12,00 -17,00 -22,00 33,00 33,00
Balance Sheet

Assets 31.12.2018 31.12.2017 31.12.2016 31.12.2015 31.12.2014
Current Assets 131,20 211,40 402,40 329,30 324,80 292,90
Long Term Assets 324,30 425,20 434,50 576,60 484,50 240,10
Total Assets 455,50 636,60 836,90 905,80 809,30 533,00
Liabilities 31.12.2018 31.12.2017 31.12.2016 31.12.2015 31.12.2014
Total Current Liabilities 89,40 129,80 151,00 322,50 240,00 144,10
Long Term Liabilities 166,30 228,40
Total Liabilities 317,30 550,90
Equity 31.12.2018 31.12.2017 31.12.2016 31.12.2015 31.12.2014
Retained Earnings
Treasury Stock
Total Stockholder Equity 362,70 468,00 519,60 354,90 367,30 314,00
Net Tangible Assets 101,90 85,80 30,40 -294,20 -184,10 71,40