Staff turnover in EUR1,218,4621,372,3681,548,9581,782,8121,793,359
Staff turnover in EUR1,218,4621,372,3681,548,9581,782,8121,793,359
The share: stated in EUR20212022202320242025
Shares outstanding (in mn.)58.0058.0058.00266.0058.00
Dividend per share0.370.380.39--
Basic earnings per share4.14-1.62-0.360.090.08
P/L in EUR million under IAS/IFRS20212022202320242025
Turnover396.0417.2446.1456.4459.1
Operating income (EBIT)1,323.1-435.2-28.6146.5150.0
Earnings before taxes1,278.8-499.9-112.426.326.7
Annual net profit/ loss1,023.4-399.8-89.021.220.8
Balance sheet in EUR million under IAS/IFRS20212022202320242025
Assets
Total current assets340.1238.746.3382.6290.4
Total fixed assets8,376.78,243.68,112.08,022.97,651.2
Total assets8,716.88,482.38,158.38,405.57,941.6
Liabilities
Total short-term liabilities183.9428.7673.5586.6361.1
Total long-term liabilities4,269.64,210.93,858.94,189.73,987.5
Total provisions0.40.30.10.00.0
Equity capital4,263.33,842.73,625.93,629.23,593.0
Total liabilities8,716.88,482.38,158.38,405.57,941.6
Management:
Reima Rytsölä
Erik Hjelt
Janne Ojalehto
Katri Viippola
Tuomas Kaulio
Ville Raitio
Board:
Esko Mikael Aro
Anne Maritta Leskelä
Annica Ånäs
Gertjan S. van der Baan
Kari Tuomo Olavi Kauniskangas
Mikko Tapio Mursula
Veronica Lindholm
Shareholding in %:
Address: Mannerheimintie 168A, 00300 Helsinki
T: +358-20-508-3300
F: +
I: http://lumo.fi
E: [email protected]