Stock Scorer

KITRON ASA (KIT.OL)

Every figure this model derived for KIT.OL, the value it took, and the element in the company's own XBRL it was read from — so any of it can be checked against the filing rather than taken on trust. As at 2024-12-31.

The figures, and where each came from

This is the part no other screener shows. Each figure below names the XBRL element it was read from, so it can be checked against the filing itself.

FigureValueXBRL tagAs at
capex 7,800,000 PurchaseOfPropertyPlantAndEquipmentClassifiedAsInvestingActivities 2024-12-31
cash 48,700,000 CashAndCashEquivalents 2025-01-01
current assets 402,200,000 CurrentAssets 2025-01-01
current liabilities 238,800,000 CurrentLiabilities 2025-01-01
equity 198,900,000 Equity 2025-01-01
interest expense 14,600,000 FinanceCosts 2024-12-31
ocf 43,700,000 CashFlowsFromUsedInOperatingActivities 2024-12-31
revenue 647,200,000 Revenue 2024-12-31

The ratios

The figures themselves rather than their scores — what somebody looking up KIT.OL on one particular measure came for.

RatioValue
cash operating margin10.31
current ratio1.68
current ratio reported1.68
ebit cagr3.05
ebit yoy-32.11
fcf margin5.55
interest cover3.29
net debt ebitda1.7
operating margin7.42
owner earnings margin5.55
revenue growth-16.51
revenue growth per share-16.51
roic12.14
rule of 40-9.1
sbc pct revenue0.0

Everything else this filing tags

77 more elements from KIT.OL's own XBRL that this model has no measure for, newest reading each, largest first. Nothing here is converted, added up or renamed — it is the filing's own element names and the filing's own numbers.

ElementNewestAs of PeriodsUnit
OperatingExpense599,200,0002024-12-31 3EUR
Assets556,000,0002025-01-01 3EUR
EquityAndLiabilities556,000,0002025-01-01 3EUR
RawMaterialsAndConsumablesUsed432,800,0002024-12-31 3EUR
Liabilities357,100,0002025-01-01 3EUR
TradeAndOtherCurrentPayablesToTradeSuppliers155,100,0002025-01-01 3EUR
NoncurrentAssets153,800,0002025-01-01 3EUR
Inventories141,400,0002025-01-01 3EUR
CurrentTradeReceivables124,100,0002025-01-01 3EUR
RetainedEarnings121,600,0002025-01-01 3EUR
NoncurrentLiabilities118,200,0002025-01-01 3EUR
EmployeeBenefitsExpense115,500,0002024-12-31 3EUR
LongtermBorrowings108,200,0002025-01-01 3EUR
CurrentContractAssets77,600,0002025-01-01 3EUR
SharePremium75,400,0002025-01-01 3EUR
CashFlowsFromUsedInOperations62,900,0002024-12-31 3EUR
ShorttermBorrowings54,000,0002025-01-01 3EUR
ProfitLossFromOperatingActivities48,000,0002024-12-31 3EUR
PropertyPlantAndEquipment47,200,0002025-01-01 3EUR
Goodwill44,400,0002025-01-01 3EUR
ProfitLossBeforeTax39,900,0002024-12-31 3EUR
OtherExpenseByNature32,200,0002024-12-31 3EUR
ComprehensiveIncome29,100,0002024-12-31 3EUR
ComprehensiveIncomeAttributableToOwnersOfParent29,100,0002024-12-31 3EUR
ProfitLoss28,000,0002024-12-31 3EUR
ProfitLossAttributableToOwnersOfParent28,000,0002024-12-31 3EUR
RightofuseAssets27,900,0002025-01-01 3EUR
OtherCurrentPayables27,600,0002025-01-01 3EUR
CashFlowsFromUsedInFinancingActivities-27,200,0002024-12-31 3EUR
IntangibleAssetsOtherThanGoodwill26,300,0002025-01-01 3EUR
DepreciationAmortisationAndImpairmentLossReversalOfImpairmentLossRecognisedInProfitOrLoss18,700,0002024-12-31 3EUR
PaymentsOfLeaseLiabilitiesClassifiedAsFinancingActivities13,000,0002024-12-31 3EUR
DividendsPaidClassifiedAsFinancingActivities12,800,0002024-12-31 3EUR
DividendsPaid12,800,0002024-12-31 3EUR
IncomeTaxesPaidClassifiedAsOperatingActivities12,500,0002024-12-31 3EUR
IncomeTaxExpenseContinuingOperations11,900,0002024-12-31 3EUR
InterestPaidClassifiedAsOperatingActivities11,500,0002024-12-31 3EUR
OtherCurrentReceivables10,400,0002025-01-01 3EUR
RepaymentsOfBorrowingsClassifiedAsFinancingActivities10,400,0002024-12-31 3EUR
ProceedsFromBorrowingsClassifiedAsFinancingActivities8,800,0002024-12-31 3EUR
CashFlowsFromUsedInInvestingActivities-8,600,0002024-12-31 3EUR
DeferredTaxLiabilities8,600,0002025-01-01 3EUR
FinanceIncomeCost-8,200,0002024-12-31 3EUR
IncreaseDecreaseInCashAndCashEquivalents7,900,0002024-12-31 3EUR
DeferredTaxAssets7,100,0002025-01-01 3EUR
FinanceIncome6,400,0002024-12-31 3EUR
InterestReceivedClassifiedAsOperatingActivities4,700,0002024-12-31 3EUR
IncreaseDecreaseInCurrentAdvancesFromFactoringClassifiedAsFinancingActivities-4,400,0002024-12-31 3EUR
CashFlowsFromUsedInIncreaseDecreaseInCurrentBorrowings-3,000,0002024-12-31 3EUR
OtherComprehensiveIncomeNetOfTaxCashFlowHedges2,700,0002024-12-31 3EUR
CurrentTaxLiabilitiesCurrent2,100,0002025-01-01 3EUR
IssuedCapital1,900,0002025-01-01 3EUR
EffectOfExchangeRateChangesOnCashAndCashEquivalents1,800,0002024-12-31 3EUR
OtherComprehensiveIncomeNetOfTaxExchangeDifferencesOnTranslation-1,500,0002024-12-31 3EUR
PurchaseOfIntangibleAssetsClassifiedAsInvestingActivities1,500,0002024-12-31 3EUR
IncreaseDecreaseThroughTerminationOfOptionsAgainstCashConsideration-1,200,0002024-12-31 3EUR
EffectOfExchangeRateChangesClassifiedAsFinancingActivities-1,200,0002024-12-31 3EUR
OtherComprehensiveIncomeThatWillBeReclassifiedToProfitOrLossNetOfTax1,100,0002024-12-31 3EUR
OtherComprehensiveIncome1,100,0002024-12-31 3EUR
OtherNoncurrentLiabilities1,000,0002025-01-01 3EUR
OtherNoncurrentReceivables900,0002025-01-01 3EUR
EffectOfExchangeRateChangesClassifiedAsInvestingActivities700,0002024-12-31 2EUR
NoncurrentRecognisedLiabilitiesDefinedBenefitPlan400,0002025-01-01 3EUR
IncreaseDecreaseThroughExerciseOfOptions400,0002024-12-31 3EUR
OtherGainsLosses100,0002024-12-31 3EUR
DilutedEarningsLossPerShare02024-12-31 3EUR/shares
BasicEarningsLossPerShare02024-12-31 3shares
ProceedsFromIssuingShares02024-12-31 3EUR
OtherComprehensiveIncomeNetOfTaxGainsLossesOnRemeasurementsOfDefinedBenefitPlans02024-12-31 3EUR
OtherComprehensiveIncomeThatWillNotBeReclassifiedToProfitOrLossNetOfTax02024-12-31 3EUR
OtherComprehensiveIncomeNetOfTaxChangeInValueOfForwardElementsOfForwardContracts02024-12-31 3EUR
AccumulatedOtherComprehensiveIncome02025-01-01 3EUR
IssueOfEquity02024-12-31 3EUR
IncreaseDecreaseThroughSharebasedPaymentTransactions02022-12-31 1EUR
IncreaseDecreaseThroughTransfersAndOtherChangesEquity02022-12-31 1EUR
CashFlowsUsedInObtainingControlOfSubsidiariesOrOtherBusinessesClassifiedAsInvestingActivities02023-12-31 2EUR
ProceedsFromSalesOfPropertyPlantAndEquipmentClassifiedAsInvestingActivities02024-12-31 3EUR

What to be careful about

What this model itself distrusts about KIT.OL's figures. Written by the derivation as it ran, not added afterwards.