Rp1079.60
Rp-4.50 (-0.42%)
End-of-day quote: 05/17/2024
BSE:500770

Tata Chemicals Annual Report

Year Year 2024 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005
Rev. Revenue
Rp154.21B Rp167.89B Rp126.22B Rp102.00B Rp103.57B Rp103.37B Rp102.70B Rp103.46B Rp148.73B Rp172.04B Rp158.85B Rp147.11B Rp138.15B Rp110.61B Rp95.44B Rp127.73B Rp60.23B Rp58.04B Rp40.34B Rp30.08B
GM % Gross Margin %
65.15% 59.12% 75.56% 72.37% 76.70% 76.75% 79.44% 76.14% 56.92% 57.14% 38.43% 40.96% 41.46% 42.00% 45.73% 36.51% 39.39% 38.32% 33.33% 17.55%
OM Operating Margin
12.11% 17.97% 12.26% 7.96% 12.76% 12.11% 16.52% 15.53% 11.12% 11.03% 9.11% 12.34% 13.51% 12.86% 14.76% 11.93% 12.34% 12.55% 14.20% 12.56%
EPS Earnings Per Share
Rp0.00 Rp29.35 Rp91.66 Rp49.54 Rp10.06 Rp31.66 Rp42.91 Rp48.14 Rp33.69 Rp30.62 Rp28.87 Rp15.24 Rp33.31 Rp37.37 Rp27.21 Rp33.26 Rp34.57 Rp17.37 Rp18.31 Rp14.71 Rp15.53
Div. Dividends
Rp16.28 Rp17.50 Rp12.50 Rp10.00 Rp11.00 Rp12.50 Rp11.00 Rp11.00 Rp10.00 Rp12.50 Rp10.00 Rp10.00 Rp10.00 Rp10.00 Rp9.00 Rp9.00 Rp9.00 Rp8.00 Rp7.00 Rp0.00
PR % Payout Ratio %
55.47% 19.09% 25.23% 99.40% 34.74% 29.13% 22.85% 32.65% 32.66% 43.30% 65.62% 30.02% 26.76% 36.75% 27.06% 26.03% 51.81% 43.69% 47.59% 0
Sha. Shares
254.8m 254.76m 254.76m 254.76m 254.76m 254.76m 254.76m 254.76m 254.76m 254.76m 254.76m 254.76m 254.76m 254.76m 243.26m 235.17m 233.99m 215.1m 215.1m 215.19m
OCF Operating Cash Flow
Rp30.16B Rp29.71B Rp16.44B Rp20.37B Rp17.80B Rp15.82B Rp18.69B Rp35.31B Rp23.32B Rp12.74B Rp23.38B Rp2.21B Rp12.15B Rp9.57B Rp19.90B Rp10.28B Rp8.81B Rp9.12B Rp1.65B Rp6.10B
FCF Free Cash Flow
Rp14.51B Rp14.27B Rp3.79B Rp7.95B Rp5.81B Rp4.99B Rp11.20B Rp28.86B Rp9.66B Rp6.68B Rp16.35B Rp-4023.80M Rp4.49B Rp3.40B Rp13.98B Rp2.90B Rp6.33B Rp3.80B Rp-306.90M Rp5.41B
FCFS Free Cash Flow Per Share
Rp46.40 Rp54.68 Rp14.43 Rp31.22 Rp22.79 Rp19.63 Rp43.92 Rp113.27 Rp64.47 Rp26.22 Rp64.18 Rp-15.89 Rp16.51 Rp13.48 Rp59.12 Rp12.35 Rp28.57 Rp17.67 Rp-1.43 Rp25.16