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Key figures

MEUR 7-9/2017 7-9/2016 Change 1-9/2017 1-9/2016 Change 2016
Order intake 1 354 1 139 19% 4 130 3 604 15% 4 927
Order book at the end of the period 5 075 5 024 1% 4 696
Net sales 1 178 1 079 9% 3 477 3 242 7% 4 801
Operating result1 130 122 7% 327 301 9% 532
% of net sales 11.1 11.3 9.4 9.3 11.1
Comparable operating result 135 123 9% 346 330 5% 583
% of net sales 11.4 11.4 10.0 10.2 12.1
Comparable adjusted EBITA 144 132 9% 373 356 5% 618
% of net sales 12.2 12.3 10.7 11.0 12.9
Profit before taxes 114 115 -1% 291 253 15% 479
Earnings/share, EUR 0.43 0.43 1.10 0.92 1.79
Cash flow from operating activities 150 189 154 378 613
Net interest-bearing debt at the end of the period 432 384 150
Gross capital expenditure 176 126 146
Gearing 0.20 0.18 0.07
1Items affecting comparability in the third quarter of 2017 included costs related to restructuring programmes of EUR 4 million (2). During the review period January-September 2017 restructuring costs amounted to EUR 19 million (29).

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