• Origo hf.
QUOTES GRAPH TECHNICAL ANALYSIS DIVIDENDS TRADES OF THE DAY
ORIGO         73,50  (0,00%)

Fundamental Data (ISK Ths) Back
  2010 2009 2008 2007 2006
Income Statement
Turnover 14.261.184 14.332.361 14.650.592 11.301.427 8.646.123
Operating Profit 228.871 -657.001 58.730 600.188 583.642
Profit Before Tax 440.605 -1.324.303 -1.421.439 508.188 405.110
Net Profit 391.831 -1.356.506 -1.201.249 415.745 303.661
Balance Sheet
Total Assets 7.980.520 9.594.922 9.952.434 5.661.290 4.548.260
Current Assets 3.688.274 3.421.368 4.375.010 3.297.573 2.496.215
Cash & Equivalents 369.577 385.195 467.693 117.882 272.052
Inventories 703.152 630.646 646.690 693.576 485.984
Total Liabilities 5.560.609 8.330.941 7.988.468 3.897.329 3.151.221
Current Liabilities 3.187.084 6.807.938 2.358.949 623.463 1.872.269
Long Term Debt 2.364.495 1.523.003 2.669.106 1.110.529 1.278.952
Short Term Debt 631.460 4.014.101 2.342.727 553.359 291.070
Total Equity 2.406.221 1.252.661 1.942.001 1.749.712 1.387.598
Share Data
Total Number of Shares 396.201.000 274.900.000 275.700.000 226.000.000 223.200.000
Sales Per Share (SPS) 35,99 52,14 53,14 50,01 38,74
Earnings Per Share (EPS) 1,28 -4,93 -4,68 1,86 1,39
Price Earning Ratio 5,47 -2,03 -4,49 12,47 10,94
Book Value of Shares 6,07 4,56 7,04 7,74 6,22
Dividends
Dividend per Share 0,000 0,000 0,200 0,600 0,450
Payout Ratio (%) 0,00 0,00 -4,66 32,56 33,08
Yield (%) - - 0,95 2,59 2,96
Ratios
Free Cash Flow -165.777 -230.729 -202.511 -12.496 89.599
Profit Growth Rate (%) 128,89 -12,92 -386,06 36,91 297,04
Profit Margin (%) 2,75 -9,46 -8,20 3,68 3,51
Return On Assets (%) 4,46 -13,75 -15,39 8,14 7,13
Return On Equity (%) 21,42 -216,58 -123,71 47,52 43,77
Working Capital 501.190 -3.386.570 2.016.061 2.674.110 623.946
Net Debt 2.626.378 5.151.909 4.544.140 1.546.006 1.297.970
Equity Ratio (%) 30,15 13,06 19,51 30,91 30,51
Net Debt Equity Ratio (%) 109,15 411,28 233,99 88,36 93,54
Current Ratio 1,16 0,50 1,85 5,29 1,33
Quick Ratio 0,94 0,41 1,58 4,18 1,07