av/f-secure-oyj-f-secure-ord-shs--big.svg

HEL:FSECURE

F-Secure Corporation

  • Stock

EUR

Last Close

1.08

10/07 15:24

Market Cap

177.73M

Beta: -

Volume Today

9.39K

Avg: 187.82K

PE Ratio

13.14

PFCF: 17.27

Dividend Yield

3.69%

Payout:47.01%

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Sep '13
Dec '13
Mar '14
Jun '14
Sep '14
Dec '14
Mar '15
Jun '15
Sep '15
Dec '15
Mar '16
Jun '16
Sep '16
Dec '16
Mar '17
Jun '17
Sep '17
Dec '17
Mar '18
Jun '18
Sep '18
Dec '18
Mar '19
Jun '19
Sep '19
Dec '19
Mar '20
Jun '20
Sep '20
Dec '20
Mar '21
Jun '21
Sep '21
Dec '21
Mar '22
Jun '22
Sep '22
Dec '22
Mar '23
Jun '23
Sep '23
Dec '23
Mar '24
Jun '24
net income
5.40M
-
4.57M
15.41%
1.70M
62.78%
3.50M
105.88%
6.10M
74.29%
4.47M
26.69%
16.60M
271.20%
2.70M
83.73%
3.20M
18.52%
-348K
110.87%
2.50M
818.39%
4.30M
72%
2.50M
41.86%
5.94M
137.64%
900K
84.85%
4.40M
388.89%
3.30M
25%
2.46M
25.36%
600K
75.64%
-200K
133.33%
800K
500%
-356K
144.50%
-1.40M
293.26%
3.40M
342.86%
800K
76.47%
465K
41.88%
2.10M
351.61%
3.10M
47.62%
5M
61.29%
2.67M
46.50%
4.90M
83.18%
1.40M
71.43%
5.60M
300%
786K
85.96%
-3.65M
564.76%
446.83M
12,331.97%
-4.90M
101.10%
-7.91M
61.43%
-11.09M
40.14%
-6.85M
38.17%
-10.37M
51.36%
-11.72M
12.94%
-2.16M
81.56%
-3.63M
68.16%
depreciation and amortization
2.30M
-
-343K
114.91%
2.30M
770.55%
1.60M
30.43%
2M
25%
-347K
117.35%
1.60M
561.10%
1.30M
18.75%
1.50M
15.38%
1.88M
25%
1.30M
30.67%
1.30M
0%
1.30M
0%
-640K
149.23%
1.40M
318.75%
1.50M
7.14%
1.70M
13.33%
-1.44M
184.59%
1.60M
211.27%
1.60M
0%
2.90M
81.25%
-1.88M
164.93%
4.40M
333.67%
4.60M
4.55%
4.40M
4.35%
-1.51M
134.34%
4.10M
371.34%
4.20M
2.44%
3.80M
9.52%
-1.23M
132.42%
3.50M
384.09%
3.50M
0%
3.40M
2.86%
-1.07M
131.56%
3.61M
436.53%
3.03M
16.01%
3.10M
2.21%
-1.57M
150.55%
3.16M
301.47%
3.13M
1.01%
3.09M
1.02%
3.25M
5.11%
3.00M
7.84%
3.03M
1.13%
deferred income tax
2.26M
-
1K
-
786K
-
-3.83M
-
-184K
-
-417K
-
-926K
-
-7.00M
-
1.44M
-
6.10M
-
stock based compensation
1.28M
-
670K
-
755K
-
2.52M
-
3.79M
-
-256K
-
2.17M
-
801K
-
2.67M
-
2.84M
-
change in working capital
-3.54M
-
-671K
-
-1.54M
-
1.31M
-
-3.61M
-
673K
-
-1.24M
-
6.20M
-
-4.12M
-
-8.50M
-
1.73M
120.34%
13K
99.25%
3.34M
25,623.08%
-10.57M
416.12%
12.21M
215.48%
-2.71M
122.18%
-1.34M
50.65%
accounts receivables
-3.51M
-
-833K
-
-1.51M
-
1.28M
-
-3.15M
-
692K
-
-1.53M
-
6.16M
-
-4.14M
-
-8.94M
-
inventory
-35K
-
162K
-
-27K
-
26K
-
-457K
-
-19K
-
288K
-
33K
-
23K
-
6K
-
accounts payables
other working capital
10.67M
-
-2.71M
-
other non cash items
-1.70M
-
7.43M
537.35%
2.10M
71.76%
900K
57.14%
-2.70M
400%
7.49M
377.33%
-13.60M
281.62%
300K
102.21%
1M
233.33%
13.55M
1,255.20%
-4.90M
136.16%
1.10M
122.45%
3M
172.73%
463K
84.57%
3.20M
591.14%
2M
37.50%
-3.70M
285%
10.23M
376.41%
-2.50M
124.45%
-100K
96%
-6.30M
6,200%
10.20M
261.84%
-4.40M
143.15%
1.60M
136.36%
-2.90M
281.25%
8.01M
376.21%
2.20M
72.53%
3.30M
50.00%
-2M
160.61%
12.44M
721.95%
-4.80M
138.59%
5.30M
210.42%
-6.90M
230.19%
16.57M
340.16%
-3.22M
119.45%
-451.88M
13,920.45%
-2.70M
99.40%
-3.13M
16.04%
1.43M
145.58%
-8.21M
674.79%
8.19M
199.77%
-2.06M
125.17%
5.65M
373.94%
4.68M
17.02%
net cash provided by operating activities
6M
-
9.40M
56.60%
6.10M
35.08%
6M
1.64%
5.40M
10%
11.61M
115.04%
4.60M
60.39%
4.30M
6.52%
5.70M
32.56%
14.29M
150.75%
-1.10M
107.70%
6.70M
709.09%
6.80M
1.49%
9.59M
41.06%
5.50M
42.66%
7.90M
43.64%
1.30M
83.54%
11.44M
779.69%
-300K
102.62%
1.30M
533.33%
-2.60M
300%
8.37M
422.08%
-1.40M
116.72%
9.60M
785.71%
2.30M
76.04%
7.89M
243.04%
8.40M
6.46%
10.60M
26.19%
6.80M
35.85%
20.88M
207.06%
3.60M
82.76%
10.20M
183.33%
2.10M
79.41%
14.84M
606.71%
-3.27M
122.00%
-2.01M
38.38%
-13M
546.12%
-1.94M
85.05%
-6.49M
233.87%
-8.59M
32.46%
-9.66M
12.45%
1.68M
117.40%
-2.22M
231.95%
-3.31M
49.46%
investments in property plant and equipment
-700K
-
-1.20M
71.29%
-1.10M
8.26%
-2.60M
136.36%
-1.40M
46.15%
-1.58M
13.21%
-1.10M
30.60%
-11.60M
954.55%
-700K
93.97%
8.79M
1,356%
-600K
106.82%
-2M
233.33%
-1.80M
10%
-2.49M
38.33%
-1.60M
35.74%
-2.70M
68.75%
-700K
74.07%
-2.11M
200.86%
-1M
52.52%
-2.20M
120%
-1.70M
22.73%
-2.55M
50.24%
-1.70M
33.44%
-3M
76.47%
-1.50M
50%
-2.43M
62.27%
-2.60M
6.82%
-2.20M
15.38%
-1.10M
50%
-2.14M
94.45%
-1.40M
34.55%
-2M
42.86%
-1.50M
25%
-1.67M
11.27%
-1.30M
22.23%
-1.15M
11.25%
-400K
65.28%
-1.87M
367.50%
-1.45M
22.41%
-1.96M
35.29%
-1.50M
23.74%
-248K
83.43%
-1.55M
526.61%
-1.50M
3.73%
acquisitions net
400K
-
-34K
108.50%
697K
2,150%
888K
-
931K
-
204K
78.09%
purchases of investments
-13.98M
-
-11.59M
17.12%
6.74M
158.16%
4.85M
28.05%
sales maturities of investments
13.91M
-
10.89M
21.74%
8.08M
-
6.78M
16.10%
other investing activites
434K
-
-100K
123.04%
-200K
100%
800K
500%
-480K
160%
43.80M
9,225%
-13M
129.68%
-100K
99.23%
-21.32M
21,216%
5.90M
-
-3.64M
-
-700K
80.77%
8.20M
1,271.43%
1M
87.80%
8K
99.20%
-300K
3,850%
52.80M
17,700%
-91.40M
273.11%
652K
100.71%
115K
-
-3.70M
3,317.39%
264K
-
434K
-
-1.15M
364.06%
-57K
-
-13.91M
24,308.77%
-10.89M
21.74%
1K
100.01%
-1K
200%
932K
-
net cash used for investing activites
-700K
-
-765K
9.29%
-1.20M
56.86%
-2.80M
133.33%
-600K
78.57%
-2.06M
244.17%
42.70M
2,167.80%
-24.60M
157.61%
-800K
96.75%
-12.52M
1,465.50%
-600K
95.21%
3.90M
750%
-1.80M
146.15%
-6.13M
240.56%
-2.30M
62.48%
5.50M
339.13%
300K
94.55%
-2.10M
799.33%
-1.30M
38.04%
50.60M
3,992.31%
-93.10M
283.99%
-1.90M
97.96%
-1.70M
10.62%
-3M
76.47%
-1.50M
50%
-2.32M
54.60%
-6.30M
171.67%
-2.20M
65.08%
-1.10M
50%
-1.88M
70.45%
-1.40M
25.33%
-2M
42.86%
-1.50M
25%
-1.24M
17.67%
-2.44M
97.89%
-1.15M
52.86%
-57K
95.05%
-15.88M
27,764.91%
-12.34M
22.31%
4.78M
138.70%
12.31M
157.85%
6.53M
46.98%
-623K
109.54%
-1.29M
107.38%
debt repayment
-400K
-
-1.50M
-
-4.60M
206.67%
-1.60M
65.22%
-4.66M
191.06%
-1.50M
67.79%
-4.70M
213.33%
-2.20M
53.19%
-9.95M
352.32%
-6.50M
34.68%
-1.50M
-
-4.36M
190.87%
-1.69M
61.38%
-20.22M
1,100.24%
-1.10M
94.56%
-1K
99.91%
-1.50M
149,500%
-1.53M
2.61%
-1.34M
12.38%
-1.34M
-
common stock issued
-11K
-
common stock repurchased
-100K
-
1K
-
-100K
-
-12K
-
dividends paid
-23K
-
-9.30M
-
-46K
-
-9.35M
-
-15.55M
66.36%
-15.55M
0.00%
-9.35M
-
-9.35M
0.00%
-9.35M
0.00%
-9.42M
-
-9.38M
0.52%
-9.42M
0.52%
-6.30M
-
-19K
-
-6.30M
-
-34K
-
-24K
-
other financing activites
-15.55M
-
15.55M
200%
-15.58M
200.18%
-8.35M
-
9.65M
215.52%
-10.64M
210.32%
-9.38M
-
9.38M
200%
-9.38M
200.00%
37M
-
-112K
100.30%
100K
-
10M
-
-4.60M
-
-1K
-
75.99M
7,598,900%
1K
-
-1.95M
195,400%
59K
-
net cash used provided by financing activities
-23K
-
-9.30M
-
-46K
-
-24.90M
-
-15.55M
37.54%
-28K
99.82%
-19K
32.14%
-17.70M
93,057.89%
300K
101.69%
-1.30M
532%
-50.00K
96.14%
-18.80M
37,499.25%
-9.38M
50.13%
49K
100.52%
-6.40M
-
36.60M
671.88%
-92K
100.25%
-1.50M
1,530.43%
-4.50M
200%
-1.60M
64.44%
-4.76M
197.31%
-1.50M
68.47%
5.30M
453.33%
-2.20M
141.51%
-9.95M
352.32%
-6.50M
34.68%
-10.90M
67.69%
-1.50M
86.24%
-4.40M
193.20%
74.30M
1,789.47%
-20.22M
127.22%
-1.10M
94.56%
-2.00M
81.91%
-1.50M
25.24%
-1.53M
2.61%
-1.34M
12.38%
-1.76M
31.08%
-1.28M
27.40%
-1.85M
44.22%
effect of forex changes on cash
-728K
-
400K
-
231K
-
300K
-
-200K
166.67%
112K
156%
100K
10.71%
600K
500%
-100K
116.67%
-35K
65%
100K
385.71%
-900K
1,000%
-300K
66.67%
-337K
12.33%
-100K
70.33%
-400K
300%
800K
300%
26K
96.75%
200K
669.23%
-100K
150%
200K
300%
-93K
146.50%
100K
207.53%
-200K
300%
-500K
150%
-302K
39.60%
100K
133.11%
-100K
200%
200K
300%
52K
74%
9K
82.69%
-12K
233.33%
108K
1,000%
-229K
312.04%
-320K
39.74%
-358K
11.88%
-56K
84.36%
131K
333.93%
-177K
235.11%
net change in cash
5.30M
-
8.45M
59.40%
5.25M
37.83%
-5.70M
208.53%
4.30M
175.44%
9.71M
125.72%
48.89M
403.75%
-86.80M
277.53%
4.80M
105.53%
1.72M
64.19%
-1.62M
194.18%
-6.50M
301.48%
5.10M
178.46%
2.15M
57.84%
3.25M
51.16%
-6.20M
290.77%
1.20M
119.35%
9M
650%
-1.70M
118.89%
45.20M
2,758.82%
-58.30M
228.98%
6.31M
110.82%
-4.41M
169.87%
2.10M
147.66%
-700K
133.33%
627K
189.57%
773K
23.29%
13.50M
1,646.44%
3M
77.78%
8.68M
189.33%
-4.28M
149.31%
-3.50M
18.22%
9.34M
-
68.60M
634.51%
-29.31M
142.72%
-17.10M
41.65%
-19.97M
16.78%
-20.64M
3.38%
-5.71M
72.34%
1.25M
121.89%
6.58M
426.24%
-4.30M
165.31%
-6.66M
54.96%
cash at beginning of period
34M
-
39.30M
15.59%
47.75M
21.50%
53M
11.00%
47.30M
10.75%
51.60M
9.09%
61.31M
18.81%
110.20M
79.75%
23.40M
78.77%
28.20M
20.51%
29.92M
6.10%
28.30M
5.41%
21.80M
22.97%
26.90M
23.39%
29.05M
7.99%
32.30M
11.19%
26.10M
19.20%
27.30M
4.60%
36.30M
32.97%
34.60M
4.68%
79.80M
130.64%
21.50M
73.06%
27.81M
29.33%
23.40M
15.85%
25.50M
8.97%
24.80M
2.75%
25.43M
2.53%
26.20M
3.04%
39.70M
51.53%
42.70M
7.56%
51.38M
20.33%
47.10M
8.33%
43.60M
7.43%
43.60M
0%
52.94M
21.42%
121.54M
129.59%
92.20M
24.14%
75.10M
18.55%
55.13M
26.59%
34.49M
37.45%
28.78M
16.56%
30.03M
4.34%
36.60M
21.91%
32.31M
11.74%
cash at end of period
39.30M
-
47.75M
21.50%
53M
11.00%
47.30M
10.75%
51.60M
9.09%
61.31M
18.81%
110.20M
79.75%
23.40M
78.77%
28.20M
20.51%
29.92M
6.10%
28.30M
5.41%
21.80M
22.97%
26.90M
23.39%
29.05M
7.99%
32.30M
11.19%
26.10M
19.20%
27.30M
4.60%
36.30M
32.97%
34.60M
4.68%
79.80M
130.64%
21.50M
73.06%
27.81M
29.33%
23.40M
15.85%
25.50M
8.97%
24.80M
2.75%
25.43M
2.53%
26.20M
3.04%
39.70M
51.53%
42.70M
7.56%
51.38M
20.33%
47.10M
8.33%
43.60M
7.43%
43.60M
0%
52.94M
21.42%
121.54M
129.59%
92.23M
24.11%
75.10M
18.58%
55.13M
26.59%
34.49M
37.45%
28.78M
16.56%
30.03M
4.34%
36.60M
21.91%
32.31M
11.74%
25.65M
20.60%
operating cash flow
6M
-
9.40M
56.60%
6.10M
35.08%
6M
1.64%
5.40M
10%
11.61M
115.04%
4.60M
60.39%
4.30M
6.52%
5.70M
32.56%
14.29M
150.75%
-1.10M
107.70%
6.70M
709.09%
6.80M
1.49%
9.59M
41.06%
5.50M
42.66%
7.90M
43.64%
1.30M
83.54%
11.44M
779.69%
-300K
102.62%
1.30M
533.33%
-2.60M
300%
8.37M
422.08%
-1.40M
116.72%
9.60M
785.71%
2.30M
76.04%
7.89M
243.04%
8.40M
6.46%
10.60M
26.19%
6.80M
35.85%
20.88M
207.06%
3.60M
82.76%
10.20M
183.33%
2.10M
79.41%
14.84M
606.71%
-3.27M
122.00%
-2.01M
38.38%
-13M
546.12%
-1.94M
85.05%
-6.49M
233.87%
-8.59M
32.46%
-9.66M
12.45%
1.68M
117.40%
-2.22M
231.95%
-3.31M
49.46%
capital expenditure
-700K
-
-1.20M
71.29%
-1.10M
8.26%
-2.60M
136.36%
-1.40M
46.15%
-1.58M
13.21%
-1.10M
30.60%
-11.60M
954.55%
-700K
93.97%
8.79M
1,356%
-600K
106.82%
-2M
233.33%
-1.80M
10%
-2.49M
38.33%
-1.60M
35.74%
-2.70M
68.75%
-700K
74.07%
-2.11M
200.86%
-1M
52.52%
-2.20M
120%
-1.70M
22.73%
-2.55M
50.24%
-1.70M
33.44%
-3M
76.47%
-1.50M
50%
-2.43M
62.27%
-2.60M
6.82%
-2.20M
15.38%
-1.10M
50%
-2.14M
94.45%
-1.40M
34.55%
-2M
42.86%
-1.50M
25%
-1.67M
11.27%
-1.30M
22.23%
-1.15M
11.25%
-400K
65.28%
-1.87M
367.50%
-1.45M
22.41%
-1.96M
35.29%
-1.50M
23.74%
-248K
83.43%
-1.55M
526.61%
-1.50M
3.73%
free cash flow
5.30M
-
8.20M
54.66%
5M
39.00%
3.40M
32%
4M
17.65%
10.03M
150.68%
3.50M
65.09%
-7.30M
308.57%
5M
168.49%
23.09M
361.70%
-1.70M
107.36%
4.70M
376.47%
5M
6.38%
7.10M
42.04%
3.90M
45.09%
5.20M
33.33%
600K
88.46%
9.33M
1,455%
-1.30M
113.93%
-900K
30.77%
-4.30M
377.78%
5.82M
235.35%
-3.10M
153.26%
6.60M
312.90%
800K
87.88%
5.46M
582%
5.80M
6.30%
8.40M
44.83%
5.70M
32.14%
18.74M
228.79%
2.20M
88.26%
8.20M
272.73%
600K
92.68%
13.17M
2,095.33%
-4.56M
134.64%
-3.16M
30.66%
-13.40M
323.51%
-3.81M
71.54%
-7.94M
108.18%
-10.56M
32.98%
-11.16M
5.72%
1.43M
112.84%
-3.77M
363.22%
-4.81M
27.55%

All numbers in EUR (except ratios and percentages)