KONE Oyj (KNEBV)

Industry Specialty Industrial Machinery

This stock can be held in an Investment ISA and an Investment Account
Sell

€54.20

Buy

€54.22

arrow-down€-0.32 (-0.59%)

KONE Oyj is engaged in the business of developing elevators and escalators. Its products include elevators, escalator, monitoring & access control systems and automatic building doors as well as solutions for modernization and maintenance.
Prices updated at 03 Jun 2025, 16:29 EEST
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Prices in EUR

Income statement

20172018201920202021202220232024
8,797m9,071m9,982m9,939m10,514m10,907m10,952m11,098m
1,192m1,042m5,214m5,268m5,427m5,574m5,898m6,269m
1,192m1,042m1,237m1,250m1,310m1,077m1,249m1,285m
13.5511.4912.4012.5812.469.8711.4011.58
956m841m931m939m1,014m775m926m951m
1,372m1,215m1,479m1,487m1,586m1,311m1,501m1,582m
Sales, General and administrative--706m762m703m750m774m806m
Interest expenses8m9m20m23m21m23m25m35m
Provision for income taxes290m242m279m277m298m244m275m293m
Operating expenses--3,977m4,018m4,117m4,498m4,650m4,984m
Income before taxes1,250m1,087m1,218m1,224m1,321m1,028m1,206m1,254m
Net income available to common shareholders956m841m931m939m1,014m775m926m951m
1.891.631.81.811.961.51.791.84
Net interest income57m32m17m5m17m17m9m3m
Advertising and promotion--------
Net investment income, net2m-1m8m7m8m-20m-3m3m
Realised capital gains (losses), net--------
Total benefits, claims and expenses--------
Earnings per share (diluted)1.881.631.81.811.961.491.791.84
Free cash flow per share1.72721.53412.23812.88722.53541.84161.22681.8905
Book value/share5.05755.40585.65915.58445.60745.34144.85354.9528
Debt equity ratio0.0646030.0632420.1346130.076860.1371680.1473240.1594110.244358

Balance sheet

20172018201920202021202220232024
Current assets5,364m5,316m5,802m6,126m6,922m6,309m5,764m5,963m
Current liabilities4,205m4,025m4,533m4,918m5,652m5,404m5,090m5,276m
Total capital3,054m3,224m3,333m3,175m3,374m3,037m2,952m3,267m
Total debt226m212m544m504m547m533m553m836m
Total equity2,894m3,064m3,173m3,175m3,174m2,837m2,752m2,867m
Total non current liabilities--------
Loans160m160m160m-200m200m200m401m
Total assets7,738m7,734m8,613m8,792m9,720m9,090m8,731m9,284m
Total liabilities--------
Cash and cash equivalents497m636m662m458m490m496m425m576m
Common stock515m516m518m518m518m517m517m518m

Cash flow

20172018201920202021202220232024
Cash at beginning of period589m497m636m662m458m490m496m425m
Cash dividends paid-795m-849m-852m-880m-1,166m-1,088m-905m-905m
854m856m1,172m1,462m1,488m430m980m1,081m
Investments (gains) losses-143m-121m-122m-110m-106m-133m-319m-287m
497m636m662m458m490m496m425m576m
Net income--------
964m970m1,270m1,550m1,585m532m1,128m1,249m
-109m-114m-98m-88m-96m-101m-148m-168m
The figures shown in the tables are quoted in the currency of the stock selected.
Please note that past performance is not a reliable indicator of future returns. Please use the interactive graph for benchmark comparison.


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