QUOTES GRAPH TECHNICAL ANALYSIS DIVIDENDS TRADES OF THE DAY
BRIM         76,50  (0,66%)

Fundamental Data (ISK Ths) Back
  2010 2009 2008 2007 2006
Income Statement
Turnover 21.348.087 17.251.216 18.337.924 1.890.735.253 2.014.138.939
Operating Profit 4.409.065 3.144.065 2.693.102 254.263.025 183.195.937
Profit Before Tax 2.775.832 2.362.768 2.693.102 254.263.025 -334.358.683
Net Profit 1.069.749 1.865.499 2.242.875 278.234.017 -277.073.869
Balance Sheet
Total Assets 44.786.122 42.578.345 43.641.458 4.062.443.045 4.418.126.220
Current Assets 7.325.879 6.215.576 6.177.676 614.389.625 575.609.671
Cash & Equivalents 1.644.588 1.767.136 937.468 11.952.905 51.463.722
Inventories 2.506.994 1.637.804 2.407.894 324.782.261 242.532.062
Total Liabilities 23.955.066 22.989.578 24.394.379 2.292.712.432 2.920.690.260
Current Liabilities 5.076.368 10.921.646 8.581.736 518.572.459 847.116.096
Long Term Debt 16.089.445 10.900.263 15.812.644 1.774.139.973 2.073.574.164
Short Term Debt 3.420.425 9.200.078 6.724.495 362.779.147 678.100.455
Total Equity 20.517.239 19.352.814 18.280.853 1.423.689.190 1.199.399.934
Share Data
Total Number of Shares 1.706.603.000 1.697.033.000 1.697.033.000 1.698.755.000 1.706.213.000
Sales Per Share (SPS) 12,51 10,16 10,81 1.113,02 1.180,47
Earnings Per Share (EPS) 0,59 1,03 1,33 163,69 -162,22
Price Earning Ratio 15,47 4,14 6,57 9,46 -11,36
Book Value of Shares 12,02 11,40 10,77 838,07 702,96
Dividends
Dividend per Share 0,000 0,000 0,000 17,696 17,696
Payout Ratio (%) 18,31 8,99 5,28 10,80 -10,90
Yield (%) 1,26 2,31 0,80 1,14 0,96
Ratios
Free Cash Flow 1.856.060 3.344.478 2.378.105 -18.533.175 142.065.750
Profit Growth Rate (%) -42,66 -16,83 -26,48 200,42 -446,79
Profit Margin (%) 5,01 10,81 12,23 14,72 -13,76
Return On Assets (%) 2,45 4,38 5,09 6,56 -6,23
Return On Equity (%) 10,43 19,28 13,24 21,21 -20,55
Working Capital 15.254 -31.912 -16.302 649.739 -1.841.093
Net Debt 17.865.282 18.333.205 21.599.671 2.124.966.215 2.700.210.897
Equity Ratio (%) 45,81 45,45 41,89 35,05 27,15
Net Debt Equity Ratio (%) 87,07 94,73 118,15 149,26 225,13
Current Ratio 1,44 0,57 0,72 1,18 0,68
Quick Ratio 0,95 0,42 0,44 0,56 0,39