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UPM Kymmene
UPM Kymmene
2021–2025 · Materials
2026-08-11
Overview
Earnings
Margins
Cash flow
Balance
Capital
Plot
USD millions
2021
2022
2023
2024
2025
Revenue
9 814
11 720
10 460
10 339
9 656
Operating profit (EBIT)
1 562
1 974
608
604
749
Net income attributable to shareholders
1 286
1 526
388
436
480
EBIT margin
15,9%
16,8%
5,8%
5,8%
7,8%
Operating cash flow
1 250
508
2 269
1 352
1 405
Free cash flow
−182
−890
1 243
809
1 041
Cash
1 460
2 067
632
892
715
0
5 000
10 000
15 000
0,0%
5,0%
10,0%
15,0%
20,0%
2021
2022
2023
2024
2025
9 814
11 720
10 460
10 339
9 656
1 562
1 974
608
604
749