lei0.71
+ lei0.01 (1.43%)
End-of-day quote: 05/09/2024
BVB:SNP

OMV Petrom Annual Report

Year Year 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005
Rev. Revenue
lei36.33B lei55.91B lei24.02B lei18.84B lei24.30B lei21.28B lei18.51B lei15.74B lei18.14B lei21.54B lei24.19B lei26.26B lei22.61B lei18.62B lei13.21B lei20.13B lei12.36B lei13.49B lei10.85B
GM % Gross Margin %
36.22% 33.29% 38.92% 37.92% 41.76% 47.47% 46.72% 43.51% 25.23% 33.11% 34.83% 31.97% 34.72% 28.94% 67.18% 28.18% 68.25% 66.61% 70.16%
OM Operating Margin
13.28% 21.72% 15.69% 4.20% 17.43% 23.52% 18.57% 11.38% 17.44% 25.37% 26.92% 23.36% 22.41% 13.68% 22.33% 11.57% 25.16% 26.66% 25.09%
EPS Earnings Per Share
lei0.00 lei0.12 lei0.38 lei0.06 lei0.03 lei0.07 lei0.07 lei0.04 lei0.02 lei0.03 lei0.07 lei0.09 lei0.08 lei0.07 lei0.04 lei0.02 lei0.02 lei0.03 lei0.04 lei0.03
Div. Dividends
lei0.04 lei0.04 lei0.03 lei0.03 lei0.03 lei0.03 lei0.02 lei0.02 lei0.00 lei0.00 lei0.00 lei0.03 lei0.03 lei0.02 lei0.00 lei0.00 lei0.02 lei0.02 lei0.00
PR % Payout Ratio %
33.33% 10.53% 50.00% 100.00% 42.86% 42.86% 50.00% 100.00% 0.00% 0.00% 0.00% 37.50% 42.86% 50.00% 0.00% 0.00% 66.67% 50.00% 0
Sha. Shares
62311.46m 62311.46m 56643.9m 56643.9m 56643.9m 56643.9m 56811.5m 56643.9m 56643.9m 56643.9m 56643.9m 56643.9m 56643.9m 56643.9m 56644.11m 56644.11m 56644.11m 56644.11m 56000.51m
OCF Operating Cash Flow
lei10.11B lei11.34B lei7.00B lei5.56B lei6.80B lei7.39B lei5.95B lei4.45B lei5.28B lei6.83B lei8.05B lei7.19B lei6.44B lei4.63B lei2.66B lei4.30B lei2.49B lei2.95B lei2.77B
FCF Free Cash Flow
lei3.47B lei8.23B lei4.74B lei2.11B lei2.87B lei3.06B lei3.35B lei1.54B lei1.39B lei590.84M lei3.15B lei2.13B lei1.64B lei-233.00M lei-1415.77M lei-1423.03M lei-1334.62M lei1.03B lei1.76B
FCFS Free Cash Flow Per Share
lei0.09 lei0.13 lei0.07 lei0.04 lei0.05 lei0.05 lei0.06 lei0.03 lei0.00 lei0.02 lei0.05 lei0.04 lei0.02 lei0.01 lei-0.02 lei-0.03 lei-0.02 lei0.02 lei0.03