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Tikkurila Oyj stock price, quote, forecast and news

TIK1V.HE
FI4000008719
A1CSR6

Price

34.00
Today +/-
+0
Today %
+0 %
P

Tikkurila Oyj stock price

%
Weekly
Details

Price

Overview

The Quote Chart provides detailed and dynamic insights into the Tikkurila Oyj stock's performance, showcasing daily, weekly, or monthly aggregated quotes. Users can switch between different time frames to analyze the stock's progression meticulously and make informed investment decisions.

Intraday Feature

The intraday feature provides real-time data, allowing investors to view the Tikkurila Oyj stock’s price fluctuations within the trading day, facilitating timely and strategic investment decisions.

Total Return and Relative Price Change

View the total return of the Tikkurila Oyj stock to gauge its profitability over time. The relative price change, based on the first quote available in the selected timeframe, offers insights into the stock’s performance, assisting in evaluating its investment potential.

Interpretation and Investment

Utilize the comprehensive data presented in the Quote Chart to analyze Tikkurila Oyj's market trends, price movements, and potential returns. Make informed investment choices by comparing different time frames and evaluating intraday data for optimized portfolio management.

Tikkurila Oyj Stock Price History

DateTikkurila Oyj Price
10/28/202134.00 undefined
10/27/202134.00 undefined

Tikkurila Oyj Revenue, EBIT, Net Income

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  • Max

Revenue
EBIT
Net Income
Details

Revenue, EBIT and Profit

Understanding Revenue, EBIT, and Income

Gain insights into Tikkurila Oyj, a comprehensive overview of its financial performance can be obtained by analyzing the Revenue, EBIT, and Income chart. Revenue represents the total income generated by Tikkurila Oyj from its primary operations, showcasing the company’s ability to attract and retain clients. EBIT, or Earnings Before Interest and Taxes, indicates the company’s operational profitability, free from the influence of tax and interest expenses. The Income section reflects Tikkurila Oyj’s net earnings, an ultimate measure of its financial health and profitability.

Yearly Analysis and Comparisons

Observe the yearly bars to understand the annual performance and growth of Tikkurila Oyj. Compare the Revenue, EBIT, and Income to evaluate the company’s efficiency and profitability. A higher EBIT compared to the previous year suggests an improvement in operational efficiency. Likewise, an increase in Income indicates enhanced overall profitability. Analyzing the year-to-year comparison assists investors in understanding the company’s growth trajectory and operational efficiency.

Utilizing Expectations for Investment

The expected values for the forthcoming years offer investors a glimpse into Tikkurila Oyj’s anticipated financial performance. Analyzing these projections alongside historical data aids in making informed investment decisions. Investors can gauge the potential risks and returns, aligning their investment strategies accordingly to optimize profitability and mitigate risks.

Investment Insights

Leveraging the comparison between Revenue and EBIT helps in assessing Tikkurila Oyj’s operational efficiency, while the Revenue and Income comparison reveals the net profitability after accounting for all expenses. Investors can derive valuable insights by meticulously analyzing these financial parameters, laying the foundation for strategic investment decisions aimed at capitalizing on Tikkurila Oyj’s growth potential.

Tikkurila Oyj Revenue, EBIT and net profit per share

DateTikkurila Oyj RevenueTikkurila Oyj EBITTikkurila Oyj Net Income
2025e647.14 M undefined0 undefined54.02 M undefined
2024e633.42 M undefined0 undefined53.02 M undefined
2023e638.6 M undefined0 undefined53.61 M undefined
2022e626.24 M undefined0 undefined49.97 M undefined
2021e611.82 M undefined0 undefined51.79 M undefined
2020581.97 M undefined62.19 M undefined43.08 M undefined
2019563.83 M undefined51.79 M undefined33.24 M undefined
2018561.47 M undefined30.51 M undefined14.58 M undefined
2017582.39 M undefined19.08 M undefined10.65 M undefined
2016572 M undefined52.84 M undefined44.47 M undefined
2015584.11 M undefined59.19 M undefined41.49 M undefined
2014618.4 M undefined63.1 M undefined48.3 M undefined
2013653 M undefined71.5 M undefined50.1 M undefined
2012671.8 M undefined70.4 M undefined40.6 M undefined
2011645.5 M undefined62.2 M undefined35.5 M undefined
2010591.7 M undefined60.8 M undefined36.5 M undefined
2009531.6 M undefined47.6 M undefined27.8 M undefined
2008650.4 M undefined58.8 M undefined36.5 M undefined
2007637.8 M undefined73.1 M undefined56.7 M undefined

Tikkurila Oyj Income Statement, Balance Sheet, Cash Flow Statement

  • Simple

  • Expanded

  • Income Statement

  • Balance Sheet

  • Cashflow

 
REVENUE (M)REVENUE GROWTH (%)GROSS MARGIN (%)GROSS INCOME (M)EBIT (M)EBIT MARGIN (%)NET INCOME (M)NET INCOME GROWTH (%)SHARES (M)DOCUMENTS
200720082009201020112012201320142015201620172018201920202021e2022e2023e2024e2025e
637650531591645671653618584571582561563581611626638633647
-2.04-18.3111.309.144.03-2.68-5.36-5.50-2.231.93-3.610.363.205.162.451.92-0.782.21
54.9550.0051.4151.1048.9948.7350.2350.3248.2948.8645.1942.2544.7645.78-----
35032527330231632732831128227926323725226600000
735847606270716359521930516200000
11.468.928.8510.159.6110.4310.8710.1910.109.113.265.359.0610.67-----
56362736354050484144101433435149535354
--35.71-25.0033.33-2.7814.2925.00-4.00-14.587.32-77.2740.00135.7130.3018.60-3.928.16-1.89
44.144.144.144.144.144.244.244.244.1144.1144.1144.1244.1944.2900000
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Details

Keystats

Revenue and Growth

The Tikkurila Oyj Revenue and Revenue Growth are pivotal to understanding the company's financial health and operational efficiency. A consistent increase in revenue indicates a company’s ability to effectively market and sell its products or services, while the revenue growth percentage offers insights into the pace at which the company is expanding over the years.

Gross Margin

The Gross Margin is a crucial metric that showcases the percentage of revenue exceeding the cost of goods sold (COGS). A higher gross margin is indicative of a company’s efficiency in controlling its production costs, thereby promising potential profitability and financial stability.

EBIT and EBIT Margin

EBIT (Earnings Before Interest and Taxes) and EBIT Margin offer deep insights into a company’s profitability, excluding the impacts of interest and taxes. Investors often assess these metrics to gauge the operational efficiency and inherent profitability of a business, separate from its financial structure and tax environment.

Income and Growth

Net Income and its subsequent growth are quintessential for investors looking to understand a company’s profitability. Consistent income growth underscores a company’s ability to enhance its profitability over time, reflecting operational efficiency, strategic competitiveness, and financial health.

Shares Outstanding

Shares outstanding refer to the total number of shares a company has issued. It's instrumental in calculating key metrics like Earnings Per Share (EPS) which is pivotal for investors to evaluate a company’s profitability on a per-share basis, offering a more granular view of financial health and valuation.

Interpreting Year to Year Comparison

Comparing yearly data allows investors to identify trends, assess the company’s growth, and anticipate potential future performance. Analyzing how metrics like revenue, income, and margins change year over year can provide valuable insights into the company’s operational efficiency, competitiveness, and overall financial health.

Expectations and Predictions

Investors often juxtapose the current and past financial data with the market’s expectations. This comparison aids in assessing whether the Tikkurila Oyj is performing as anticipated, underperforming or outperforming the market predictions, providing pivotal data for investment decisions.

 
ASSETSCASH BALANCE (M)RECEIVABLES (M)OTHER REC. (M)INVENTORIES (M)OTHER CURRENT LIAB. (M)CURRENT ASSETS (M)TANGIBLE ASSETS (M)LONG-T. INVEST. (M)LONG-T. REC. (M)INTANGIBLE ASSETS (M)GOODWILL (M)OTHER NON-CURRENT ASSETS (M)NON-CURRENT ASSETS (M)TOTAL ASSETS (M)LIABILITIESCOMMON STOCK (M)ADDITIONAL PAID-IN CAPITAL (M)RETAINED EARNINGS (M)OTHER EQUITY (M)UNREAL. GAINS/LOSSES (M)EQUITY (M)LIABILITIES (M)PROVISIONS (M)OTHER SHORT-TERM LIAB. (M)SHORT-TERM DEBTS (M)LONG-TERM DEBT PORTION (M)SHORT-TERM REC. (M)LONG-T. LIAB. (M)DEFERRED TAXES (M)OTHER LIAB. (M)LONG-T. LIABILITIES (M)DEBT (M)TOTAL CAPITAL (M)
20072008200920102011201220132014201520162017201820192020
                           
61.631.324.569.410.415.929.225.816.7918.5316.9635.4947.0191.98
69.962.862.968.883.195.88983.383.2995.1394.2190.4692.8983.51
6.67.84.73.73.46.76.69.810.629.4914.6913.8211.887.53
84.483.373.576.894.784.879.773.778.480.2295.9878.8485.4880.41
9.610.610.315.314.500000.189.311.561.451.21
232.1195.8175.9234206.1203.2204.5192.6189.1203.55231.16220.16238.7264.64
118.2118.2114.9114.7112.6112.8104.290.389.487.5381.2370.9191.5276.89
1.91.61.73.444.454.11.911.531.251.141.021.04
9.35.85.97.17.67.95.54.12.797.27.328.716.595.22
38.135.333.730.530.226.920.818.419.430.6626.4720.9718.2413.48
68.168.168.368.468.76766.472.571.9372.371.9669.8370.1969.1
1.632.84.15.49.98.87.96.937.578.358.2810.811.25
237.2232227.3228.2228.5228.9210.7197.3192.35206.78196.58179.82198.36176.97
469.3427.8403.2462.2434.6432.1415.2389.9381.44410.34427.74399.99437.06441.61
                           
3535353535353535353535353535
00404040404040404040404040
80.170.389.3125.8131.1137.1147.4157161.77170.39143.9121.14137.48159.79
-2.1-18.8-20.4-12.1-16.3-7.9-16.4-39.6-41.76-36.76-39.34-45.97-40.51-53.5
0001.41.61.82.11.9000000.09
11386.5143.9190.1191.4206208.1194.3195.01208.63179.56150.17171.97181.39
42.536.838.538.441.243.542.342.142.1641.751.4946.3443.0148.65
3435.732.845.74621.318.417.318.8619.2724.7314.7317.4724.33
39.232.69.312.115.333.133.728.429.2531.2632.237.0645.2847.74
00001135.41712.312.4926.956.7870.8942.9326.91
56.537.9398.738.50.50.50.50.340.220.190.127.327.07
172.2143119.6104.9152133.8111.9100.6103.11119.34165.38169.13156154.69
158.3174.2115.1139.360.360.660.360.350.1650.0950.085075.1470.14
9.79.89.611.31111.78.68.16.946.254.993.893.653.08
15.9141516.819.719.926.428.126.2726.0727.7626.8430.3632.34
183.9198139.7167.49192.295.396.583.3782.4182.8480.72109.14105.56
356.1341259.3272.3243226207.2197.1186.47201.75248.22249.85265.14260.25
469.1427.5403.2462.4434.4432415.3391.4381.48410.38427.78400.03437.1441.64
Details

Balance Sheet

Understanding the Balance Sheet

The balance sheet of Tikkurila Oyj provides a detailed financial snapshot, revealing the company's assets, liabilities, and equity at a specific point in time. Analyzing these components is crucial for investors looking to understand Tikkurila Oyj's financial health and stability.

Assets

Tikkurila Oyj's assets represent everything the company owns or controls that has monetary value. These are categorized into current and non-current assets, offering insights into the company's liquidity and long-term investments.

Liabilities

Liabilities are obligations that Tikkurila Oyj must settle in the future. Analyzing the ratio of liabilities to assets provides insights into the company's financial leverage and risk exposure.

Equity

Equity refers to the residual interest in the assets of Tikkurila Oyj after deducting liabilities. It represents the owners’ claim on the company’s assets and earnings.

Year-to-Year Analysis

Comparing balance sheet figures year-to-year allows investors to identify trends, growth patterns, and potential financial risks, facilitating informed investment decisions.

Interpreting the Data

Detailed analysis of assets, liabilities, and equity can provide investors with comprehensive insights into Tikkurila Oyj's financial standing, aiding in investment evaluations and risk assessments.

 
NET INCOME (M)DEPRECIATION (M)DEFERRED TAXES (M)CHANGES IN WORKING CAPITAL (M)NON-CASH ITEM (M)PAID INTEREST (M)PAID TAXES (M)NET CASH FLOW FROM OPERATING ACTIVITIES (M)CAPITAL EXPENDITURES (M)CASH FLOW FROM INVESTING ACTIVITIES (M)CASH FLOW FROM OTHER INVESTING ACTIVITIES (M)INTEREST INCOME AND EXPENSES (M)NET DEBT CHANGE (M)NET CHANGE IN EQUITY (M)CASH FLOW FROM FINANCING ACTIVITIES (M)CASH FLOW FROM OTHER FINANCING ACTIVITIES (M)TOTAL DIVIDENDS PAID (M)NET CHANGE IN CASH FLOW (M)FREE CASH FLOW (M)SHARE-BASED COMPENSATION (M)
20072008200920102011201220132014201520162017201820192020
5636273635405048414410143343
1818182021212021171620212424
00000000000000
-28-16-5-23-49-32-17-10-29-31-29-10-113
416213030362617181216201527
121314812647723523
6631412262019111412586
5155626337667975484218466197
-42-32-13-11-15-16-14-16-20-21-15-12-11-8
-26-30-17-12-23-15-12-26-15-20-13-11-8-5
151-3-1-811-9411022
00000000000000
10-17-6-39-14-18-8-9142914-25-23
0000000-2000000
-21-57-53-6-72-44-53-53-41-20-5-21-39-45
1-6-10-11-1-7300000
-24-50-330-30-32-33-35-35-35-35-35-14-22
3-30-644-58513-3-81-1111444
00000000000000
00000000000000

Tikkurila Oyj stock margins

The Tikkurila Oyj margin analysis displays the gross margin, EBIT margin, as well as the profit margin of Tikkurila Oyj. The EBIT margin (EBIT/sales) indicates the percentage of sales that remains as operating profit. The profit margin shows the percentage of sales that remains for Tikkurila Oyj.
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Gross margin
EBIT margin
Profit margin
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Margin

Understanding Gross Margin

The gross margin, expressed as a percentage, delineates the gross profit made from the Tikkurila Oyj's sales revenue. A higher gross margin percentage indicates that the Tikkurila Oyj retains more revenue after accounting for the costs of goods sold. Investors use this metric to gauge financial health and operational efficiency, as well as to compare it with competitors and industry averages.

EBIT Margin Analysis

EBIT margin represents the Tikkurila Oyj's earnings before interest and taxes. Analyzing the EBIT margin over different years provides insights into the operational profitability and efficiency, excluding the effects of financial leverage and tax structure. A growing EBIT margin over the years signifies improving operational performance.

Revenue Margin Insights

The revenue margin demonstrates the Tikkurila Oyj's total revenue generated. When comparing the revenue margin year over year, investors can gauge the Tikkurila Oyj's growth and market expansion. It is essential to compare the revenue margin with the gross and EBIT margins to understand the cost and profit structures better.

Interpreting Expectations

The expected values for gross, EBIT, and revenue margins provide future financial outlook of the Tikkurila Oyj. Investors should compare these expectations with historical data to understand potential growth and risk factors. It is crucial to consider the underlying assumptions and methodologies used in projecting these expected values to make informed investment decisions.

Comparative Analysis

Comparing the gross, EBIT, and revenue margins, both yearly and over multiple years, enables investors to perform a comprehensive analysis of the Tikkurila Oyj's financial health and growth prospects. Evaluating the trends and patterns in these margins helps in identifying strengths, weaknesses, and potential investment opportunities.

Tikkurila Oyj Margin History

Tikkurila Oyj Gross marginTikkurila Oyj Profit marginTikkurila Oyj EBIT marginTikkurila Oyj Profit margin
2025e45.86 %0 %8.35 %
2024e45.86 %0 %8.37 %
2023e45.86 %0 %8.39 %
2022e45.86 %0 %7.98 %
2021e45.86 %0 %8.46 %
202045.86 %10.69 %7.4 %
201944.78 %9.19 %5.9 %
201842.26 %5.43 %2.6 %
201745.24 %3.28 %1.83 %
201648.82 %9.24 %7.77 %
201548.4 %10.13 %7.1 %
201450.32 %10.2 %7.81 %
201350.23 %10.95 %7.67 %
201248.73 %10.48 %6.04 %
201149.06 %9.64 %5.5 %
201051.12 %10.28 %6.17 %
200951.35 %8.95 %5.23 %
200849.97 %9.04 %5.61 %
200755.02 %11.46 %8.89 %

Tikkurila Oyj Stock Sales Revenue, EBIT, Earnings per Share

The Tikkurila Oyj earnings per share therefore indicates how much revenue Tikkurila Oyj has generated per share in a given period. The earnings before interest and taxes per share shows how much of the operating profit corresponds to each share. The earnings per share indicates how much of the profit belongs to each share.
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Sales per Share
EBIT per share
Earnings per Share
Details

Revenue, EBIT and Earnings per share

Revenue Per Share

Revenue per share represents the total revenue Tikkurila Oyj earns, divided by the number of outstanding shares. It is a crucial metric as it reflects the company's ability to generate sales and signifies growth and expansion potential. Comparing yearly revenue per share allows investors to analyze the consistency in a company’s earnings and predict future trends.

EBIT Per Share

EBIT per share indicates Tikkurila Oyj's earning before interest and taxes, offering insights into operational profitability excluding the effects of capital structure and tax rates. It can be juxtaposed against revenue per share to gauge the efficiency in converting sales into profits. A consistent increase in EBIT per share over the years underscores operational efficiency and profitability.

Income Per Share

Income per share, or earnings per share (EPS), reveals the portion of Tikkurila Oyj’s profit allocated to each share of common stock. It’s instrumental in evaluating the profitability and financial health. By comparing it with revenue and EBIT per share, investors discern how effectively a firm translates sales and operational profits into net income.

Expected Values

Expected values are projections of revenue, EBIT, and income per share for forthcoming years. These anticipations, rooted in historical data and market analysis, aid investors in strategizing their investments, evaluating Tikkurila Oyj's prospective performance, and estimating future stock prices. However, it’s pivotal to consider market volatilities and uncertainties that can influence these projections.

Tikkurila Oyj Revenue, EBIT and net profit per share

DateTikkurila Oyj Sales per ShareTikkurila Oyj EBIT per shareTikkurila Oyj Earnings per Share
2025e14.67 undefined0 undefined1.22 undefined
2024e14.36 undefined0 undefined1.2 undefined
2023e14.48 undefined0 undefined1.22 undefined
2022e14.2 undefined0 undefined1.13 undefined
2021e13.87 undefined0 undefined1.17 undefined
202013.14 undefined1.4 undefined0.97 undefined
201912.76 undefined1.17 undefined0.75 undefined
201812.73 undefined0.69 undefined0.33 undefined
201713.2 undefined0.43 undefined0.24 undefined
201612.97 undefined1.2 undefined1.01 undefined
201513.24 undefined1.34 undefined0.94 undefined
201413.99 undefined1.43 undefined1.09 undefined
201314.77 undefined1.62 undefined1.13 undefined
201215.2 undefined1.59 undefined0.92 undefined
201114.64 undefined1.41 undefined0.8 undefined
201013.42 undefined1.38 undefined0.83 undefined
200912.05 undefined1.08 undefined0.63 undefined
200814.75 undefined1.33 undefined0.83 undefined
200714.46 undefined1.66 undefined1.29 undefined

Tikkurila Oyj business model

Tikkurila Oyj is a company specializing in the production, sale, and distribution of paints, stains, and varnishes. The company is based in Vantaa, Finland and operates in various countries such as Sweden, Norway, Russia, Poland, and Hungary. Tikkurila was established in 1862 when the Swedish paint factory Oy Färgblager AB was founded near Helsinki. In 1901, the company was renamed Tikkurilan maalitehdas Oy, which means Tikkurila paint factory in German. Since then, the company has become one of the most well-known paint manufacturers in North and Eastern Europe. Tikkurila Oyj is one of the most popular companies on Eulerpool.com.

Tikkurila Oyj SWOT Analysis

Strengths

Tikkurila Oyj possesses several strengths that contribute to its overall success. Firstly, the company has a strong brand reputation in the paint and coatings industry, recognized for its high-quality products. This allows Tikkurila to attract and retain a loyal customer base.

Another strength is Tikkurila's wide product portfolio, offering a diverse range of paint solutions for various applications. This allows the company to cater to different customer needs and preferences, providing a competitive edge in the market.

Additionally, Tikkurila has a strong distribution network, with strategic partnerships and retail presence in numerous countries. This enables efficient product accessibility and enhances the company's market reach and sales potential.

Weaknesses

Despite its strengths, Tikkurila Oyj also faces certain weaknesses. One such weakness is the company's limited geographic presence compared to some of its competitors. Tikkurila currently operates primarily in Northern Europe, which poses limitations for its global market share.

Furthermore, Tikkurila's heavy reliance on the construction industry leaves it vulnerable to economic downturns or fluctuations in the real estate sector. This dependency may pose challenges to sustained growth during challenging market conditions.

Opportunities

Tikkurila Oyj has several opportunities for future growth and expansion. Firstly, there is a growing demand for eco-friendly and sustainable paint products, driven by increasing environmental awareness. Tikkurila can capitalize on this trend by developing and promoting its range of environmentally friendly paints, capturing a larger market share.

Expansion into new international markets presents another opportunity for Tikkurila. By entering emerging markets with a rising demand for high-quality paint products, the company can tap into new customer segments and diversify its revenue sources.

Threats

Tikkurila Oyj faces several threats that could impact its business operations. One significant threat in the paint and coatings industry is intense competition. Competitors may offer similar products or lower-priced alternatives, potentially eroding Tikkurila's market share and profitability.

Another threat is the possibility of stricter regulations regarding the use of certain chemicals or VOC emissions, which could affect the formulation and production of Tikkurila's paints. Adapting to changing regulatory requirements may require significant investments in research and development.

Tikkurila Oyj Eulerpool Fair Value

Details

Fair Value

Understanding Fair Value

The fair value of a stock provides insights into whether the stock is currently undervalued or overvalued. It is calculated based on profit, revenue, or dividends and offers a comprehensive perspective of the stock’s intrinsic value.

Income-Based Fair Value

This is calculated by multiplying the earnings per share by the average P/E ratio of the selected past years for smoothing. If the fair value is higher than the current market price, it suggests that the stock is undervalued.

Example 2022

Fair Value Profit 2022 = Earnings per Share 2022 / Average P/E Ratio 2019 - 2021 (3 Years Smoothing)

Revenue-Based Fair Value

It is derived by multiplying the revenue per share by the average price-to-sales ratio of the selected past years for smoothing. An undervalued stock is identified if the fair value exceeds the ongoing market price.

Example 2022

Fair Value Revenue 2022 = Revenue per Share 2022 / Average PSR 2019 - 2021 (3 Years Smoothing)

Dividend-Based Fair Value

This value is determined by dividing the dividend per share by the average dividend yield of the selected past years for smoothing. A higher fair value than the market price indicates an undervalued stock.

Example 2022

Fair Value Dividend 2022 = Dividend per Share 2022 * Average Dividend Yield 2019 - 2021 (3 Years Smoothing)

Expectations and Forecasts

Future expectations provide potential trajectories for stock prices and aid investors in decision-making. The expected values are forecasted figures of fair value, taking into account the growth or decline trends of profit, revenue, or dividend.

Comparative Analysis

Comparing the fair value based on profit, revenue, and dividend provides a holistic overview of the stock’s financial health. Observing the annual and per-annual variations contributes to understanding the consistency and reliability of stock performance.

Tikkurila Oyj historical P/E ratio, EBIT, and P/S ratio.

Tikkurila Oyj shares outstanding

The number of shares was Tikkurila Oyj in 2023 — This indicates how many shares 44.286 M is divided into. Since shareholders are the owners of a company, each share represents a small portion of the company's ownership.
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Number of stocks
Details

Revenue, EBIT and Earnings per share

Revenue Per Share

Revenue per share represents the total revenue Tikkurila Oyj earns, divided by the number of outstanding shares. It is a crucial metric as it reflects the company's ability to generate sales and signifies growth and expansion potential. Comparing yearly revenue per share allows investors to analyze the consistency in a company’s earnings and predict future trends.

EBIT Per Share

EBIT per share indicates Tikkurila Oyj's earning before interest and taxes, offering insights into operational profitability excluding the effects of capital structure and tax rates. It can be juxtaposed against revenue per share to gauge the efficiency in converting sales into profits. A consistent increase in EBIT per share over the years underscores operational efficiency and profitability.

Income Per Share

Income per share, or earnings per share (EPS), reveals the portion of Tikkurila Oyj’s profit allocated to each share of common stock. It’s instrumental in evaluating the profitability and financial health. By comparing it with revenue and EBIT per share, investors discern how effectively a firm translates sales and operational profits into net income.

Expected Values

Expected values are projections of revenue, EBIT, and income per share for forthcoming years. These anticipations, rooted in historical data and market analysis, aid investors in strategizing their investments, evaluating Tikkurila Oyj's prospective performance, and estimating future stock prices. However, it’s pivotal to consider market volatilities and uncertainties that can influence these projections.

Tikkurila Oyj dividend history and estimates

In 2023, Tikkurila Oyj paid a dividend amounting to 0.94 EUR. Dividend means that Tikkurila Oyj distributes a portion of its profits to its owners.
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Dividend
Dividend (Estimate)
Details

Dividend

Dividend Overview

The dividend per year chart for Tikkurila Oyj provides a comprehensive view of the annual dividends distributed to shareholders. Analyze the trend to understand the consistency and growth in dividend payouts over the years.

Interpretation and Use

A consistent or increasing trend in dividends can indicate the company's profitability and financial health. Investors can use this data to identify Tikkurila Oyj’s potential for long-term investment and income generation through dividends.

Investment Strategy

Incorporate the dividend data in evaluating Tikkurila Oyj's overall performance. A thorough analysis, considering other financial aspects, will help in making informed investment decisions for optimal capital growth and income generation.

Tikkurila Oyj Dividend History

DateTikkurila Oyj Dividend
2025e0.95 undefined
2024e1.04 undefined
2023e0.94 undefined
2022e0.78 undefined
2021e1.32 undefined
20200.5 undefined
20190.33 undefined
20180.8 undefined
20170.8 undefined
20160.8 undefined
20150.8 undefined
20140.8 undefined
20130.76 undefined
20120.73 undefined
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Tikkurila Oyj dividend payout ratio

In 2023, Tikkurila Oyj had a payout ratio of 77.69%. The payout ratio indicates the percentage of the company's profits that Tikkurila Oyj distributes as dividends.
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Payout ratio
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Payout ratio

What is Yearly Payout Ratio?

The yearly payout ratio for Tikkurila Oyj represents the proportion of earnings paid out as dividends to shareholders. It is an indicator of the company's financial health and stability, illustrating how much profit is being returned to investors versus being reinvested back into the company.

How to Interpret the Data

A lower payout ratio for Tikkurila Oyj could mean that the company is reinvesting more into its growth, whereas a higher ratio indicates more earnings are being distributed as dividends. Investors seeking regular income might prefer companies with a higher payout ratio, while those looking for growth may opt for companies with a lower ratio.

Using the Data for Investments

Evaluate Tikkurila Oyj's payout ratio in conjunction with other financial metrics and performance indicators. A sustainable payout ratio, coupled with strong financial health, can indicate a reliable dividend payout. However, a very high ratio might suggest the company is not sufficiently reinvesting in its future growth.

Tikkurila Oyj Payout Ratio History

DateTikkurila Oyj Payout ratio
2025e77.79 %
2024e86.45 %
2023e77.69 %
2022e69.23 %
2021e112.43 %
202051.4 %
201943.87 %
2018242.02 %
2017331.32 %
201679.36 %
201585.04 %
201473.21 %
201367.05 %
201279.47 %
201186.96 %
2010112.43 %
2009112.43 %
2008112.43 %
2007112.43 %
Unfortunately, there are currently no price targets and forecasts available for Tikkurila Oyj.

Tikkurila Oyj list of shareholders

%
Name
Stocks
Change
Date
97.09329 % PPG Industries Inc42,823,85238,711,6466/10/2021
4.94283 % Fidelity Management & Research Company LLC2,180,079-2,157,7941/27/2021
4.08109 % Lannebo Fonder AB1,800,000-1,121,9651/8/2021
1.87320 % Bestinver Gestión S.G.I.I.C. S.A.826,192-13,8496/30/2021
1.68458 % Ilmarinen Mutual Pension Insurance Company743,00003/31/2021
1.20805 % Elo Mutual Pension Insurance Company532,82103/31/2021
1.13815 % ODIN Forvaltning AS501,99303/31/2020
0.92278 % Valtion Eläkerahasto407,00003/31/2021
0.90712 % Water Island Capital, LLC400,093-56,9146/30/2021
0.82075 % Veritas Pension Insurance Company Ltd.362,000-118,0003/31/2021
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Most common questions regarding Tikkurila Oyj

What values and corporate philosophy does Tikkurila Oyj represent?

Tikkurila Oyj represents a strong set of values and a dedicated corporate philosophy. The company strives for sustainability, aiming to create environmentally friendly products and solutions. Tikkurila also emphasizes innovation and continuous improvement, ensuring high-quality and long-lasting coatings for its customers. As a responsible corporate citizen, Tikkurila focuses on promoting health and safety while also supporting local communities. With a commitment to customer satisfaction, Tikkurila prioritizes reliability and trust in its operations. By upholding these values and philosophy, Tikkurila Oyj has established itself as a reputable company in the stock market.

In which countries and regions is Tikkurila Oyj primarily present?

Tikkurila Oyj is primarily present in Finland, Russia, Sweden, and the Baltic countries.

What significant milestones has the company Tikkurila Oyj achieved?

Tikkurila Oyj, a renowned company in the stock market, has attained noteworthy milestones over the years. With a rich history spanning several decades, Tikkurila Oyj has successfully established itself as a leading provider of high-quality paints and coatings. The company has consistently delivered innovative solutions and expanded its product portfolio, catering to a diverse range of customer needs. Tikkurila Oyj has also achieved geographical expansion, making its presence felt in various markets worldwide. Furthermore, the company has placed a strong emphasis on sustainability, actively promoting environmentally friendly practices throughout its operations. Through these remarkable achievements, Tikkurila Oyj continues to thrive and enhance its position in the market.

What is the history and background of the company Tikkurila Oyj?

Tikkurila Oyj is a leading Finnish paint and coatings company with a rich history. Established in 1862, it has a strong foundation of expertise and experience in the industry. Over the years, Tikkurila has grown to become a trusted brand known for its high-quality products and innovative solutions. The company's focus on sustainability and environmental responsibility has also contributed to its success. With a diverse portfolio of decorative paints and industrial coatings, Tikkurila caters to both professional and retail customers. As a global player, Tikkurila operates in various countries, delivering exceptional products and services to enhance surfaces and protect them for the long term.

Who are the main competitors of Tikkurila Oyj in the market?

The main competitors of Tikkurila Oyj in the market include Akzo Nobel N.V., Sherwin-Williams Company, PPG Industries, Inc., and Hempel A/S.

In which industries is Tikkurila Oyj primarily active?

Tikkurila Oyj is primarily active in the paint and coatings industry.

What is the business model of Tikkurila Oyj?

Tikkurila Oyj is a leading Finnish company in the paints and coatings industry. Their business model primarily focuses on manufacturing, marketing, and selling premium-quality, sustainable paints and coatings for both professional and consumer customers. With a strong emphasis on innovation and environmentally friendly solutions, Tikkurila Oyj offers a wide range of decorative paints, industrial coatings, and related services. By consistently catering to the needs of various market segments, Tikkurila Oyj aims to provide durable and aesthetically appealing solutions that enhance and protect surfaces, contributing to the well-being of people and their surroundings.

What is the P/E ratio of Tikkurila Oyj 2024?

The Tikkurila Oyj P/E ratio is 28.4.

What is the P/S ratio of Tikkurila Oyj 2024?

The Tikkurila Oyj P/S ratio is 2.38.

What is the AlleAktien quality score of Tikkurila Oyj?

The AlleAktien quality score for Tikkurila Oyj is 5/10.

What is the revenue of Tikkurila Oyj 2024?

The expected Tikkurila Oyj revenue is 633.42 M EUR.

How high is the profit of Tikkurila Oyj 2024?

The expected Tikkurila Oyj profit is 53.02 M EUR.

What is the business model of Tikkurila Oyj

Tikkurila Oyj is a leading provider of paints, coatings, and finishes in Northern Europe. The company was founded in 1862 and is headquartered in Vantaa, Finland. Tikkurila operates in 14 countries and employs over 2,700 employees. Tikkurila offers both paints and coatings for demanding professionals, as well as a wide range of paints and coatings for the DIY market. The company produces a variety of products including interior and exterior paints, varnishes and stains, protective films, furniture coatings, concrete coatings, primers, and specialty coatings. One of Tikkurila's main segments is paints and coatings for residential buildings. These products must meet the high demands of customers, including durability, ease of use, color selection, and environmental friendliness. The company has developed a wide range of colors and shades in collaboration with architects and color designers to provide customers with the greatest possible selection. Tikkurila's products are compatible with each other and offer a seamless, uniform appearance throughout the house. Another segment of Tikkurila is the industrial sector. Here, products are produced for application on wood, metal, and plastic, offering durability and resistance to corrosion and other environmental impacts. Tikkurila is an important partner for the automotive industry and produces products for both interior and exterior vehicle applications. In the construction and infrastructure sector, Tikkurila offers products for the maintenance and protection of buildings and public infrastructure. The product range includes coatings for concrete and metal structures, sealing and caulking compounds, as well as floor coatings. Another business area of Tikkurila is the maritime sector. The company produces coatings for ships, boats, and offshore installations. Tikkurila's products are resistant to the harsh conditions at sea and provide optimal protection and durability even in extreme environments. Tikkurila also has a strong presence in the DIY market, offering a wide range of paints and coatings for home improvement needs. The company has also developed an online tool called "ColorMaker" to assist customers in selecting the right color and shade. With this feature, customers can virtually visualize colors in a room in advance. Overall, Tikkurila strives to offer its customers the best possible paint products and solutions. The company aims to produce high-quality and environmentally friendly products and continuously improve its technologies. Tikkurila is a company that understands and responds to the needs and requirements of its customers in order to meet their satisfaction and contribute to the long-term success of the company.

What is the Tikkurila Oyj dividend?

Tikkurila Oyj pays a dividend of 0 EUR distributed over payouts per year.

How often does Tikkurila Oyj pay dividends?

The dividend cannot currently be calculated for Tikkurila Oyj or the company does not pay out a dividend.

What is the Tikkurila Oyj ISIN?

The ISIN of Tikkurila Oyj is FI4000008719.

What is the Tikkurila Oyj WKN?

The WKN of Tikkurila Oyj is A1CSR6.

What is the Tikkurila Oyj ticker?

The ticker of Tikkurila Oyj is TIK1V.HE.

How much dividend does Tikkurila Oyj pay?

Over the past 12 months, Tikkurila Oyj paid a dividend of 0.5 EUR . This corresponds to a dividend yield of about 1.47 %. For the coming 12 months, Tikkurila Oyj is expected to pay a dividend of 0.95 EUR.

What is the dividend yield of Tikkurila Oyj?

The current dividend yield of Tikkurila Oyj is 1.47 %.

When does Tikkurila Oyj pay dividends?

Tikkurila Oyj pays a quarterly dividend. This is distributed in the months of May, November, July, November.

How secure is the dividend of Tikkurila Oyj?

Tikkurila Oyj paid dividends every year for the past 15 years.

What is the dividend of Tikkurila Oyj?

For the upcoming 12 months, dividends amounting to 0.95 EUR are expected. This corresponds to a dividend yield of 2.8 %.

In which sector is Tikkurila Oyj located?

Tikkurila Oyj is assigned to the 'Commodities' sector.

Wann musste ich die Aktien von Tikkurila Oyj kaufen, um die vorherige Dividende zu erhalten?

To receive the latest dividend of Tikkurila Oyj from 11/6/2020 amounting to 0.25 EUR, you needed to have the stock in your portfolio before the ex-date on 10/29/2020.

When did Tikkurila Oyj pay the last dividend?

The last dividend was paid out on 11/6/2020.

What was the dividend of Tikkurila Oyj in the year 2023?

In the year 2023, Tikkurila Oyj distributed 0.784 EUR as dividends.

In which currency does Tikkurila Oyj pay out the dividend?

The dividends of Tikkurila Oyj are distributed in EUR.

All fundamentals about Tikkurila Oyj

Our stock analysis for Tikkurila Oyj Revenue stock includes important financial indicators such as revenue, profit, P/E ratio, P/S ratio, EBIT, as well as information on dividends. We also assess aspects such as stocks, market capitalization, debt, equity, and liabilities of Tikkurila Oyj Revenue. If you are looking for more detailed information on these topics, we offer comprehensive analyses on our subpages.