R$23.99
R$0.00 (0.00%)
End-of-day quote: 05/17/2024
BOVESPA:SCAR3

São Carlos Empreendimentos e Participações Annual Report

Year Year 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2007
Rev. Revenue
R$232.60M R$287.15M R$276.66M R$202.89M R$371.19M R$366.98M R$549.13M R$448.13M R$476.28M R$304.91M R$644.07M R$557.33M R$344.19M R$231.24M R$531.08M R$174.48M
GM % Gross Margin %
77.15% 78.65% 80.59% 91.29% 88.30% 58.61% 67.12% 79.56% 81.60% 88.15% 70.06% 72.81% 62.78% 83.48% 43.34% 72.11%
OM Operating Margin
22.49% 49.55% 52.17% 65.44% 70.82% 41.21% 54.43% 66.63% 71.41% 74.84% 63.21% 65.03% 51.39% 71.35% 36.56% 60.23%
EPS Earnings Per Share
R$0.00 R$-1.70 R$-1.28 R$0.45 R$0.82 R$0.55 R$0.06 R$0.01 R$0.01 R$0.70 R$1.79 R$1.77 R$3.84 R$1.65 R$1.59 R$1.01 R$0.58
Div. Dividends
R$0.00 R$0.00 R$0.14 R$0.37 R$0.30 R$0.07 R$0.81 R$0.00 R$0.21 R$0.55 R$1.10 R$1.02 R$0.40 R$0.38 R$0.63 R$0.00
PR % Payout Ratio %
-0.00% -0.00% 31.11% 45.12% 54.55% 116.67% 8100.00% 0.00% 30.00% 30.73% 62.15% 26.56% 24.24% 23.90% 62.38% 0.00%
Sha. Shares
57.11m 56.86m 56.48m 56.55m 56.28m 56.04m 56.46m 56.22m 56.12m 56.35m 57.2m 57.4m 57.3m 57.57m 57.61m 61.51m
OCF Operating Cash Flow
R$-7.84M R$-44.38M R$119.38M R$69.78M R$17.83M R$46.31M R$17.45M R$29.35M R$180.07M R$230.10M R$174.99M R$205.04M R$150.94M R$162.65M R$99.79M R$117.19M
FCF Free Cash Flow
R$-316.43M R$-52.22M R$116.11M R$69.47M R$-265.27M R$46.04M R$-40.56M R$105.86M R$10.52M R$-114.51M R$-95.34M R$-29.34M R$35.63M R$-22.52M R$0.00M R$-191.40M
FCFS Free Cash Flow Per Share
R$-0.25 R$-0.93 R$2.04 R$1.22 R$0.30 R$0.81 R$0.31 R$0.52 R$3.21 R$-2.01 R$-1.67 R$3.58 R$2.63 R$2.82 R$1.73 R$1.91