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KNYJY KONE OYJ UNSP ADR EACH REPR 0.5 ORD CLASSE B

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  • 24.840
  • +0.600+2.48%
15min DelayTrading Apr 29 10:54 ET
25.71BMarket Cap25.53P/E (TTM)

KONE OYJ UNSP ADR EACH REPR 0.5 ORD CLASSE B Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
(Q2)Jun 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
38.18%469.8M
-14.13%1.69B
-14.13%1.69B
-27.83%445M
-33.12%309.1M
-39.04%340M
-31.85%1.97B
-31.85%1.97B
41.39%616.6M
-4.21%462.2M
-Cash and cash equivalents
38.18%469.8M
-14.33%424.5M
-14.33%424.5M
-27.83%445M
-33.12%309.1M
-39.04%340M
1.04%495.5M
1.04%495.5M
41.39%616.6M
-4.21%462.2M
-Short-term investments
----
-14.07%1.26B
-14.07%1.26B
----
----
----
-38.58%1.47B
-38.58%1.47B
----
----
-Accounts receivable
-1.40%2.46B
-6.48%2.5B
-6.48%2.5B
-5.59%2.51B
-0.37%2.53B
1.47%2.49B
10.19%2.67B
10.19%2.67B
14.60%2.66B
11.30%2.54B
-Taxes receivable
-14.30%98.9M
0.94%118.7M
0.94%118.7M
-8.15%163.4M
-9.64%143.4M
-7.97%115.4M
0.26%117.6M
0.26%117.6M
24.84%177.9M
40.69%158.7M
-Other receivables
-38.61%658.3M
-7.31%555.2M
-7.31%555.2M
-35.85%1.01B
-30.96%1.02B
-31.70%1.07B
6.74%599M
6.74%599M
-23.68%1.58B
-14.01%1.48B
Inventory
-2.14%819.1M
-2.29%802.2M
-2.29%802.2M
-8.94%852.2M
-5.06%829.2M
7.03%837M
21.00%821M
21.00%821M
38.92%935.9M
40.42%873.4M
Prepaid assets
----
-17.26%18.7M
-17.26%18.7M
----
----
----
-42.35%22.6M
-42.35%22.6M
----
----
Current deferred assets
2.57%742.5M
-20.00%2.4M
-20.00%2.4M
-8.66%752.9M
-17.27%729.6M
-7.94%723.9M
11.11%3M
11.11%3M
15.85%824.3M
27.37%881.9M
Other current assets
--200K
-200.00%-100K
-200.00%-100K
----
----
----
--100K
--100K
----
----
Total current assets
-6.00%5.25B
-8.64%5.76B
-8.64%5.76B
-15.54%5.73B
-13.00%5.56B
-11.09%5.58B
-8.86%6.31B
-8.86%6.31B
6.93%6.79B
8.19%6.39B
Non current assets
Net PPE
12.16%800.4M
8.78%779.7M
8.78%779.7M
-0.08%743.9M
-2.38%718.3M
-2.90%713.6M
-2.70%716.8M
-2.70%716.8M
3.27%744.5M
2.18%735.8M
-Gross PPE
----
8.11%1.88B
8.11%1.88B
----
----
----
7.40%1.74B
7.40%1.74B
----
----
-Accumulated depreciation
----
-7.65%-1.1B
-7.65%-1.1B
----
----
----
-15.86%-1.02B
-15.86%-1.02B
----
----
Goodwill and other intangible assets
7.59%1.81B
8.21%1.76B
8.21%1.76B
6.26%1.78B
3.97%1.72B
2.85%1.68B
0.06%1.62B
0.06%1.62B
4.74%1.68B
5.36%1.65B
-Goodwill
4.59%1.5B
3.84%1.47B
3.84%1.47B
0.91%1.48B
0.08%1.44B
1.39%1.43B
0.68%1.41B
0.68%1.41B
5.89%1.47B
6.28%1.44B
-Other intangible assets
25.18%306.2M
37.94%287.2M
37.94%287.2M
43.36%302.5M
29.76%281.2M
12.36%244.6M
-3.97%208.2M
-3.97%208.2M
-2.63%211M
-0.32%216.7M
Defined pension benefit
-5.50%10.3M
-8.00%9.2M
-8.00%9.2M
-46.25%12.9M
-49.16%12.1M
-53.62%10.9M
-56.33%10M
-56.33%10M
8.11%24M
10.19%23.8M
Other non current assets
---100K
200.00%100K
200.00%100K
----
----
----
-200.00%-100K
-200.00%-100K
----
0.00%100K
Total non current assets
8.83%3.05B
6.67%2.97B
6.67%2.97B
2.86%2.93B
1.31%2.85B
0.42%2.81B
-0.60%2.78B
-0.60%2.78B
4.17%2.85B
3.67%2.81B
Total assets
-1.04%8.3B
-3.96%8.73B
-3.96%8.73B
-10.10%8.67B
-8.63%8.41B
-7.55%8.39B
-6.48%9.09B
-6.48%9.09B
6.10%9.64B
6.77%9.21B
Liabilities
Current liabilities
Payables
-5.76%1.09B
-13.49%1.17B
-13.49%1.17B
-29.36%1.05B
-13.78%1.08B
-10.20%1.16B
-13.86%1.35B
-13.86%1.35B
25.26%1.49B
10.30%1.25B
-accounts payable
-10.83%836.2M
-18.17%927M
-18.17%927M
-33.97%919.4M
-18.93%952.4M
-19.99%937.8M
-13.54%1.13B
-13.54%1.13B
31.77%1.39B
13.80%1.17B
-Total tax payable
15.72%256.2M
10.74%238.2M
10.74%238.2M
35.81%133.5M
63.15%128.4M
86.52%221.4M
-15.15%215.1M
-15.15%215.1M
-26.31%98.3M
-24.40%78.7M
-Other payable
----
70.00%1.7M
70.00%1.7M
----
----
----
-54.55%1M
-54.55%1M
----
----
Current debt and capital lease obligation
4.19%119.4M
-0.78%113.8M
-0.78%113.8M
4.11%126.7M
5.57%121.4M
-2.30%114.6M
2.69%114.7M
2.69%114.7M
7.99%121.7M
1.95%115M
-Current debt
----
-66.28%2.9M
-66.28%2.9M
----
----
----
152.94%8.6M
152.94%8.6M
----
----
-Current capital lease obligation
----
4.52%110.9M
4.52%110.9M
----
----
----
-2.03%106.1M
-2.03%106.1M
----
----
Other current liabilities
---100K
----
----
---100K
0.00%100K
----
-150.00%-100K
-150.00%-100K
----
--100K
Current liabilities
-2.15%5.34B
-5.81%5.09B
-5.81%5.09B
-12.64%5.26B
-9.84%5.29B
-8.07%5.46B
-4.40%5.4B
-4.40%5.4B
13.43%6.02B
14.23%5.87B
Non current liabilities
Long term provisions
4.90%192.8M
10.99%196.9M
10.99%196.9M
9.60%213.5M
16.02%217.3M
12.14%183.8M
16.48%177.4M
16.48%177.4M
18.35%194.8M
11.62%187.3M
Long term debt and capital lease obligation
9.04%454.7M
4.98%438.7M
4.98%438.7M
0.21%430M
-2.50%417.7M
-3.52%417M
-4.02%417.9M
-4.02%417.9M
-2.90%429.1M
-4.03%428.4M
-Long term debt
----
0.00%200M
0.00%200M
----
----
----
0.00%200M
0.00%200M
----
----
-Long term capital lease obligation
----
9.36%238.3M
9.36%238.3M
----
----
----
-7.43%217.9M
-7.43%217.9M
----
----
Other non current liabilities
180.00%80K
----
----
----
----
0.00%-100K
----
----
--100K
----
Total non current liabilities
2.70%867.08M
4.23%854.8M
4.23%854.8M
4.26%863.7M
3.79%893.8M
1.00%844.3M
-5.62%820.1M
-5.62%820.1M
-2.62%828.4M
-0.58%861.2M
Total liabilities
-1.50%6.21B
-4.48%5.94B
-4.48%5.94B
-10.60%6.12B
-8.10%6.18B
-6.95%6.3B
-4.56%6.22B
-4.56%6.22B
11.22%6.85B
12.09%6.73B
Shareholders'equity
Share capital
0.00%66.2M
0.00%66.2M
0.00%66.2M
0.00%66.2M
0.00%66.2M
0.00%66.2M
0.00%66.2M
0.00%66.2M
0.00%66.2M
0.00%66.2M
-common stock
0.00%66.2M
0.00%66.2M
0.00%66.2M
0.00%66.2M
0.00%66.2M
0.00%66.2M
0.00%66.2M
0.00%66.2M
0.00%66.2M
0.00%66.2M
Retained earnings
2.89%1.9B
8.10%2.62B
8.10%2.62B
8.62%2.33B
8.87%2.08B
4.28%1.85B
-5.03%2.42B
-5.03%2.42B
-13.13%2.15B
-13.68%1.91B
Paid-in capital
0.00%100.3M
0.00%100.3M
0.00%100.3M
0.00%100.3M
0.00%100.3M
0.00%100.3M
0.00%100.3M
0.00%100.3M
0.00%100.3M
0.00%100.3M
Less: Treasury stock
-5.79%217.9M
-2.70%230.2M
-2.70%230.2M
23.17%230.2M
23.17%230.2M
23.76%231.3M
--236.6M
--236.6M
22.32%186.9M
22.32%186.9M
Total stockholders'equity
0.09%2.06B
-2.98%2.75B
-2.98%2.75B
-9.11%2.51B
-10.33%2.2B
-9.60%2.06B
-10.64%2.84B
-10.64%2.84B
-4.90%2.76B
-5.64%2.45B
Noncontrolling interests
18.59%37.12M
13.38%33.9M
13.38%33.9M
14.54%32.3M
14.40%29.4M
15.07%31.3M
19.60%29.9M
19.60%29.9M
24.78%28.2M
20.66%25.7M
Total equity
0.37%2.09B
-2.81%2.79B
-2.81%2.79B
-8.87%2.54B
-10.07%2.23B
-9.31%2.09B
-10.40%2.87B
-10.40%2.87B
-4.67%2.79B
-5.42%2.48B
Currency Unit
EUR
EUR
EUR
EUR
EUR
EUR
EUR
EUR
EUR
EUR
(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022(Q2)Jun 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments 38.18%469.8M-14.13%1.69B-14.13%1.69B-27.83%445M-33.12%309.1M-39.04%340M-31.85%1.97B-31.85%1.97B41.39%616.6M-4.21%462.2M
-Cash and cash equivalents 38.18%469.8M-14.33%424.5M-14.33%424.5M-27.83%445M-33.12%309.1M-39.04%340M1.04%495.5M1.04%495.5M41.39%616.6M-4.21%462.2M
-Short-term investments -----14.07%1.26B-14.07%1.26B-------------38.58%1.47B-38.58%1.47B--------
-Accounts receivable -1.40%2.46B-6.48%2.5B-6.48%2.5B-5.59%2.51B-0.37%2.53B1.47%2.49B10.19%2.67B10.19%2.67B14.60%2.66B11.30%2.54B
-Taxes receivable -14.30%98.9M0.94%118.7M0.94%118.7M-8.15%163.4M-9.64%143.4M-7.97%115.4M0.26%117.6M0.26%117.6M24.84%177.9M40.69%158.7M
-Other receivables -38.61%658.3M-7.31%555.2M-7.31%555.2M-35.85%1.01B-30.96%1.02B-31.70%1.07B6.74%599M6.74%599M-23.68%1.58B-14.01%1.48B
Inventory -2.14%819.1M-2.29%802.2M-2.29%802.2M-8.94%852.2M-5.06%829.2M7.03%837M21.00%821M21.00%821M38.92%935.9M40.42%873.4M
Prepaid assets -----17.26%18.7M-17.26%18.7M-------------42.35%22.6M-42.35%22.6M--------
Current deferred assets 2.57%742.5M-20.00%2.4M-20.00%2.4M-8.66%752.9M-17.27%729.6M-7.94%723.9M11.11%3M11.11%3M15.85%824.3M27.37%881.9M
Other current assets --200K-200.00%-100K-200.00%-100K--------------100K--100K--------
Total current assets -6.00%5.25B-8.64%5.76B-8.64%5.76B-15.54%5.73B-13.00%5.56B-11.09%5.58B-8.86%6.31B-8.86%6.31B6.93%6.79B8.19%6.39B
Non current assets
Net PPE 12.16%800.4M8.78%779.7M8.78%779.7M-0.08%743.9M-2.38%718.3M-2.90%713.6M-2.70%716.8M-2.70%716.8M3.27%744.5M2.18%735.8M
-Gross PPE ----8.11%1.88B8.11%1.88B------------7.40%1.74B7.40%1.74B--------
-Accumulated depreciation -----7.65%-1.1B-7.65%-1.1B-------------15.86%-1.02B-15.86%-1.02B--------
Goodwill and other intangible assets 7.59%1.81B8.21%1.76B8.21%1.76B6.26%1.78B3.97%1.72B2.85%1.68B0.06%1.62B0.06%1.62B4.74%1.68B5.36%1.65B
-Goodwill 4.59%1.5B3.84%1.47B3.84%1.47B0.91%1.48B0.08%1.44B1.39%1.43B0.68%1.41B0.68%1.41B5.89%1.47B6.28%1.44B
-Other intangible assets 25.18%306.2M37.94%287.2M37.94%287.2M43.36%302.5M29.76%281.2M12.36%244.6M-3.97%208.2M-3.97%208.2M-2.63%211M-0.32%216.7M
Defined pension benefit -5.50%10.3M-8.00%9.2M-8.00%9.2M-46.25%12.9M-49.16%12.1M-53.62%10.9M-56.33%10M-56.33%10M8.11%24M10.19%23.8M
Other non current assets ---100K200.00%100K200.00%100K-------------200.00%-100K-200.00%-100K----0.00%100K
Total non current assets 8.83%3.05B6.67%2.97B6.67%2.97B2.86%2.93B1.31%2.85B0.42%2.81B-0.60%2.78B-0.60%2.78B4.17%2.85B3.67%2.81B
Total assets -1.04%8.3B-3.96%8.73B-3.96%8.73B-10.10%8.67B-8.63%8.41B-7.55%8.39B-6.48%9.09B-6.48%9.09B6.10%9.64B6.77%9.21B
Liabilities
Current liabilities
Payables -5.76%1.09B-13.49%1.17B-13.49%1.17B-29.36%1.05B-13.78%1.08B-10.20%1.16B-13.86%1.35B-13.86%1.35B25.26%1.49B10.30%1.25B
-accounts payable -10.83%836.2M-18.17%927M-18.17%927M-33.97%919.4M-18.93%952.4M-19.99%937.8M-13.54%1.13B-13.54%1.13B31.77%1.39B13.80%1.17B
-Total tax payable 15.72%256.2M10.74%238.2M10.74%238.2M35.81%133.5M63.15%128.4M86.52%221.4M-15.15%215.1M-15.15%215.1M-26.31%98.3M-24.40%78.7M
-Other payable ----70.00%1.7M70.00%1.7M-------------54.55%1M-54.55%1M--------
Current debt and capital lease obligation 4.19%119.4M-0.78%113.8M-0.78%113.8M4.11%126.7M5.57%121.4M-2.30%114.6M2.69%114.7M2.69%114.7M7.99%121.7M1.95%115M
-Current debt -----66.28%2.9M-66.28%2.9M------------152.94%8.6M152.94%8.6M--------
-Current capital lease obligation ----4.52%110.9M4.52%110.9M-------------2.03%106.1M-2.03%106.1M--------
Other current liabilities ---100K-----------100K0.00%100K-----150.00%-100K-150.00%-100K------100K
Current liabilities -2.15%5.34B-5.81%5.09B-5.81%5.09B-12.64%5.26B-9.84%5.29B-8.07%5.46B-4.40%5.4B-4.40%5.4B13.43%6.02B14.23%5.87B
Non current liabilities
Long term provisions 4.90%192.8M10.99%196.9M10.99%196.9M9.60%213.5M16.02%217.3M12.14%183.8M16.48%177.4M16.48%177.4M18.35%194.8M11.62%187.3M
Long term debt and capital lease obligation 9.04%454.7M4.98%438.7M4.98%438.7M0.21%430M-2.50%417.7M-3.52%417M-4.02%417.9M-4.02%417.9M-2.90%429.1M-4.03%428.4M
-Long term debt ----0.00%200M0.00%200M------------0.00%200M0.00%200M--------
-Long term capital lease obligation ----9.36%238.3M9.36%238.3M-------------7.43%217.9M-7.43%217.9M--------
Other non current liabilities 180.00%80K----------------0.00%-100K----------100K----
Total non current liabilities 2.70%867.08M4.23%854.8M4.23%854.8M4.26%863.7M3.79%893.8M1.00%844.3M-5.62%820.1M-5.62%820.1M-2.62%828.4M-0.58%861.2M
Total liabilities -1.50%6.21B-4.48%5.94B-4.48%5.94B-10.60%6.12B-8.10%6.18B-6.95%6.3B-4.56%6.22B-4.56%6.22B11.22%6.85B12.09%6.73B
Shareholders'equity
Share capital 0.00%66.2M0.00%66.2M0.00%66.2M0.00%66.2M0.00%66.2M0.00%66.2M0.00%66.2M0.00%66.2M0.00%66.2M0.00%66.2M
-common stock 0.00%66.2M0.00%66.2M0.00%66.2M0.00%66.2M0.00%66.2M0.00%66.2M0.00%66.2M0.00%66.2M0.00%66.2M0.00%66.2M
Retained earnings 2.89%1.9B8.10%2.62B8.10%2.62B8.62%2.33B8.87%2.08B4.28%1.85B-5.03%2.42B-5.03%2.42B-13.13%2.15B-13.68%1.91B
Paid-in capital 0.00%100.3M0.00%100.3M0.00%100.3M0.00%100.3M0.00%100.3M0.00%100.3M0.00%100.3M0.00%100.3M0.00%100.3M0.00%100.3M
Less: Treasury stock -5.79%217.9M-2.70%230.2M-2.70%230.2M23.17%230.2M23.17%230.2M23.76%231.3M--236.6M--236.6M22.32%186.9M22.32%186.9M
Total stockholders'equity 0.09%2.06B-2.98%2.75B-2.98%2.75B-9.11%2.51B-10.33%2.2B-9.60%2.06B-10.64%2.84B-10.64%2.84B-4.90%2.76B-5.64%2.45B
Noncontrolling interests 18.59%37.12M13.38%33.9M13.38%33.9M14.54%32.3M14.40%29.4M15.07%31.3M19.60%29.9M19.60%29.9M24.78%28.2M20.66%25.7M
Total equity 0.37%2.09B-2.81%2.79B-2.81%2.79B-8.87%2.54B-10.07%2.23B-9.31%2.09B-10.40%2.87B-10.40%2.87B-4.67%2.79B-5.42%2.48B
Currency Unit EUREUREUREUREUREUREUREUREUREUR

Analysis

Analyst Rating

No Data

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