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STG:CPH
Scandinavian Tobacco Group A/S
DKK ७४.४०
०.००%
(०.००) 1D
सेप्टेम्बर ७, १६:५९:३४ GMT+२  ·   DKK
All symbols
SymbolPriceChange% Change
Generating top insights for STG...
Mkt. cap
६.०६ अरब
Avg. vol.
१.२४ लाख
Volume
०.००
52-wk high
DKK १०४.००
52-wk low
DKK ६३.२०
Shares outstanding
८.०० करोड
No. of employees
९ हजार
Mkt. cap
६.०६ अरब
Avg. vol.
१.२४ लाख
Volume
०.००
52-wk high
DKK १०४.००
52-wk low
DKK ६३.२०
Shares outstanding
८.०० करोड
No. of employees
९ हजार
Profile
Scandinavian Tobacco Group is a manufacturer of cigars and traditional pipe tobacco. The city company is headquartered in Copenhagen, Denmark, and is a publicly listed company on Nasdaq Copenhagen. Wikipedia
About Scandinavian Tobacco Group A/S
CEONiels Frederiksen
Employees८.८६ हजार
Founded१९६१
Headquarters-
Sector-
Previous reportsAll values in DKK
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Income statement
Revenue
Net income
All values in DKK
२०२५ सेप्टेम्बर
२०२५ डिसेम्बर
२०२६ मार्च
२०२६ जुन
Revenue
२.३६ अरब
२.३४ अरब
१.८६ अरब
२.३३ अरब
Cost of goods sold
१.३१ अरब
१.३२ अरब
१.०४ अरब
१.२८ अरब
Cost of revenue
१.३१ अरब
१.३२ अरब
१.०४ अरब
१.२८ अरब
Research and development expenses
-
-
-
-
Total research and development expenses
-
-
-
-
Selling, general, and admin expenses
५५.०५ करोड
५९.३७ करोड
५३.४४ करोड
५८.८३ करोड
Operating expense
६६.१८ करोड
७०.९८ करोड
६६.१७ करोड
७१.५७ करोड
Total operating expenses
१.९७ अरब
२.०३ अरब
१.७० अरब
१.९९ अरब
Operating income
३८.८४ करोड
३१.११ करोड
१६.२१ करोड
३३.९३ करोड
Other non operating income
१.८९ करोड
-१.०८ करोड
३.०६ करोड
४.८६ करोड
EBT including unusual items
२९.५१ करोड
२२.१० करोड
५.६३ करोड
२८.१८ करोड
EBT excluding unusual items
३३.६४ करोड
२७.२१ करोड
१३.१९ करोड
३४.१६ करोड
Income tax expense
६.७८ करोड
५.७४ करोड
१.२९ करोड
६.४९ करोड
Effective tax rate
२२.९८%
२५.९७%
२२.९१%
२३.०३%
Other operating expenses
-
-
-
-
Net income
२२.७३ करोड
१६.३६ करोड
४.३४ करोड
२१.६९ करोड
Net profit margin
९.६४%
६.९८%
२.३३%
९.२९%
Earnings per share
३.४०
२.६०
१.१०
३.३०
Interest and investment income
८५.०० लाख
३.६३ करोड
२.७३ करोड
३.१६ करोड
Interest expense
-८.६१ करोड
-४.०२ करोड
-९.३० करोड
-८.४५ करोड
Net interest expenses
-७.७६ करोड
-३९.०० लाख
-६.५७ करोड
-५.२९ करोड
Depreciation and amortization charges
६.१२ करोड
६.६५ करोड
६.३३ करोड
६.५५ करोड
EBITDA
४९.९७ करोड
३१.२६ करोड
२८.९४ करोड
४६.६७ करोड
Gain or loss from assets sale
-
-२८.०० लाख
-
-
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