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Kamux Oyj
Nakaraang pagsara
€1.74
Sakop ng araw
€1.73 - €1.75
Sakop ng taon
€1.64 - €2.39
Market cap
69.23M EUR
Average na Volume
74.21K
P/E ratio
-
Dividend yield
2.87%
Primary exchange
HEL
Sa balita
Mga Financial
Income Statement
Kita
Net na kita
| (EUR) | Dis 2025info | Y/Y na pagbabago |
|---|---|---|
Kita | 205.10M | -13.35% |
Gastos sa pagpapatakbo | 20.10M | -0.50% |
Net na kita | -500.00K | -138.46% |
Net profit margin | -0.24 | -143.64% |
Kita sa bawat share | -0.01 | -114.40% |
EBITDA | -1.70M | -666.67% |
Aktuwal na % ng binabayarang buwis | 84.85% | — |
Balance Sheet
Kabuuang asset
Kabuuang sagutin
| (EUR) | Dis 2025info | Y/Y na pagbabago |
|---|---|---|
Cash at mga panandaliang investment | 18.50M | 516.67% |
Kabuuang asset | 195.10M | -14.54% |
Kabuuang sagutin | 91.10M | -23.57% |
Kabuuang equity | 104.00M | — |
Natitirang share | 39.40M | — |
Presyo para makapag-book | 0.66 | — |
Return on assets | -3.28% | — |
Return on capital | -4.06% | — |
Cash Flow
Net change in cash
| (EUR) | Dis 2025info | Y/Y na pagbabago |
|---|---|---|
Net na kita | -500.00K | -138.46% |
Cash mula sa mga operasyon | 18.90M | 29.45% |
Cash mula sa pag-invest | -200.00K | 90.00% |
Cash mula sa financing | -19.60M | -73.45% |
Net change in cash | -1.20M | -180.00% |
Malayang cash flow | 17.31M | 223.60% |
Tungkol
Itinatag
2003
Website
Mga Empleyado
902