■ Key figures
2022
2021
2020
Sales, EUR million EBITDA, EUR million
2,479.6
2,084.1
1,889.5
614.6 602.8
466.0 472.2
321.8 315.8
comparable, EUR million
EBITDA, % of sales
24.8 24.3
22.4 22.7
17.0 16.7
comparable, % of sales
Operating result, EUR million comparable, EUR million Operating result, % of sales comparable, % of sales Result before taxes, EUR million
531.5 520.7
375.9 386.6
227.3 221.2
21.4 21.0
18.0 18.6
12.0 11.7
524.9 514.6 461.3 451.4
365.8 376.6 314.0 326.6
212.3 206.3 170.1 165.3
comparable, EUR million
Result for the period, EUR million
comparable, EUR million Earnings per share, EUR
1.15
0.82
0.48
comparable, EUR
1.13
0.85
0.46
Return on equity, %
22.5 22.0 21.4 20.9
19.4 20.2 18.2 18.7
12.5 12.1 12.6 12.2
comparable, %
Return on capital employed, %
comparable, % Equity ratio 1) , % Net gearing 1) , %
66
63
60
4
-4
17
Interest-bearing net liabilities/comparable EBITDA Shareholders’ equity per share 1) , EUR Interest-bearing net liabilities 1) , EUR million
0.2
-0.2 4.78
0.7
5.86 94.5
3.89
-78.4 220.2 329.6 2,389
235.5 166.4 307.7 2,370
Total investment, EUR million
304.1 232.0 2,248
Net cash flow from operations, EUR million
Personnel 1)
at the end of the period
1)
■ Delivery and production volumes
1,000 t
2022
2021
2020
Delivery volumes
Folding boxboard White kraftliner
1,208
1,296
1,223
609 503
627 496 762
587 521 696
Metsä Board’s market pulp 1) Metsä Fibre’s market pulp 2)
717
Production volumes Folding boxboard
1,272
1,272
1,249
White kraftliner
605
634
591
Metsä Board’s pulp 1) Metsä Fibre’s pulp 2)
1,409
1,362
1,371
731
747
702
1) Includes chemical pulp and high-yield pulp (BCTMP). 2) Equal to Metsä Board’s 24.9% holding in Metsä Fibre.
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Report of the Board of Directors | METSÄ BOARD ANNUAL AND SUSTAINABILITY REPORT 2022
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