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UPM-Kymmene Oyj (UPM): Kapitalflussrechnung

Takani Score ?
39.8

Preis (11.09.2026)52W Hoch52W Tief
25,77 Euro27,55 Euro20,44 Euro
Analysten KonsensBuyOutperformHoldUnderperformSell
24,8 Euro-----
Externe Analystenschätzungen (Quelle: EODHD) – keine Anlageempfehlung von Takani.
#SharesShort [%]Short Ratio
527.324.046--

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Kennzahl in 1000 EUR
2025-12-312024-12-312023-12-312022-12-312021-12-312020-12-312019-12-312018-12-312017-12-312016-12-312015-12-312014-12-312013-12-312012-12-312011-12-312010-12-312009-12-312008-12-312007-12-312006-12-312005-12-312004-12-312003-12-312002-12-312001-12-312000-12-311999-12-311998-12-31
Umsatz
9.656.00010.339.00010.460.00011.720.0009.814.0008.580.00010.238.00010.483.00010.010.0009.812.00010.138.0009.868.00010.054.00010.438.00010.068.0009.000.0007.766.0009.544.00010.235.00010.021.207,949.340.601,539.812.619,369.930.933,2110.484.575,949.935.364,49.578.401,047.859.885,118.324.519,58
Cashflow aus operativer Geschäftstätigkeit
1.405.0001.352.0002.269.000508.0001.250.0001.005.0001.847.0001.391.0001.558.0001.686.0001.185.0001.241.000735.0001.014.0001.041.000982.0001.259.000628.000867.0001.214.577,07852.753,1996.605,681.261.713,671.430.407,971.647.652,061.638.634,861.202.485,9951.398,028
Operative Cashflow Marge
14,55%13,08%21,69%4,33%12,74%11,71%18,04%13,27%15,56%17,18%11,69%12,58%7,31%9,71%10,34%10,91%16,21%6,58%8,47%12,12%9,13%10,16%12,7%13,64%16,58%17,11%15,3%11,43%
Investitionsausgaben (CapEx)
428.000596.0001.080.0001.477.0001.521.000875.000403.000303.000305.000351.000432.000378.000337.000374.000286.000241.000236.000558.000673.000634.944,22689.801,27629.241,04562.967,27571.782850.799,87590.930,7540.621,76569.917,944
Cashflow aus Investitionstätigkeit
-436.000-586.000-1.076.000-1.585.000-1.323.000-879.000-415.000-260.000-222.000-262.000-392.000-247.000-297.000-65.000-131.000-195.000-214.000-532.000-425.000-313.683,66-157.885,97-465.476,08-351.755,29-441.225,11-2.859.227,04-329.004,66-78.509,41-313.693,614
Cashflow aus Finanzierungstätigkeit
-1.127.000-544.000-2.608.0001.687.000-194.00071.000-783.000-959.000-1.604.000-1.057.000-868.000-1.096.000-132.000-976.000-671.000-966.000-940.000-1.000-402.000-950.900,95-587.639,76-709.648,16-916.310,62-997.759,591.401.515,77-1.396.938,88-1.219.380,33-654.757,614
Freier Cashflow
977.000756.0001.189.000-969.000-271.000130.0001.444.0001.088.0001.253.0001.335.000753.000863.000398.000640.000755.000741.0001.023.00070.000194.000579.632,85162.951,83367.364,64698.746,4858.625,97796.852,191.047.704,16661.864,14381.480,084
Freie Cashflow Marge
10,12%7,31%11,37%-8,27%-2,76%1,52%14,1%10,38%12,52%13,61%7,43%8,75%3,96%6,13%7,5%8,23%13,17%0,73%1,9%5,78%1,74%3,74%7,04%8,19%8,02%10,94%8,42%4,58%
Ausgeschüttete Dividenden
-792.000-801.000-799.000-693.000-693.000-693.000-693.000-613.000-507.000-400.000-373.000-319.000-317.000-315.000-286.000-234.000-208.000-384.000-392.000-391.725,73-387.538,29-392.445,76-389.074,7-388.811,76-372.014,21-556.859,02-276.273,62-248.209,326
Neuausgabe und Rückkäufe von Stammaktien
-160.000----------34.000-----1.083.000-266.000--151.131,49----151.727,85-278.961,88-224.596,54-

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