£1250.00
£0.00 (0.00%)
End-of-day quote: 04/20/2024
CASE:IRAX

Al Ezz Dekheila Steel Company - Alexandria S.A.E. Annual Report

Year Year 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2006
Rev. Revenue
£75.44B £61.22B £33.95B £38.55B £41.29B £34.37B £16.98B £11.42B £14.08B £15.80B £14.65B £14.04B £12.67B £9.03B £11.77B £8.10B
GM % Gross Margin %
22.64% 20.54% 2.23% -2.15% 11.32% 10.88% 10.80% 3.95% 4.04% 13.04% 10.11% 13.56% 13.50% 14.71% 35.07% 36.96%
OM Operating Margin
18.64% 16.15% -2.98% -6.51% 8.76% 8.00% 7.88% 0.38% 0.65% 10.57% 8.09% 11.36% 10.77% 12.67% 33.57% 35.63%
EPS Earnings Per Share
£0.00 £328.26 £328.26 £298.06 £-244.76 £-242.12 £128.58 £107.41 £29.96 £-27.49 £-15.21 £93.07 £32.70 £49.53 £33.68 £48.02 £221.92 £119.63
Div. Dividends
£274.45 £213.47 £0.00 £80.00 £120.00 £37.12 £0.00 £0.00 £15.00 £60.00 £12.38 £24.75 £49.85 £76.20 £195.00 £112.00
PR % Payout Ratio %
83.61% 71.62% 0 -33.04% 93.33% 34.56% 0.00% 0 -98.62% 64.47% 37.86% 49.97% 148.01% 158.68% 87.87% 93.62%
Sha. Shares
19.5m 19.5m 19.51m 13.36m 13.36m 13.36m 13.36m 13.36m 13.36m 13.36m 13.36m 13.36m 25.1m 13.36m 13.36m 13.67m
OCF Operating Cash Flow
£17.88B £3.90B £-3346.51M £-4254.66M £-397.99M £400.92M £1.43B £1.83B £-2051.01M £1.76B £906.71M £1.60B £1.27B £551.49M £3.58B £3.19B
FCF Free Cash Flow
£15.12B £2.19B £-3588.05M £-4888.06M £-1300.49M £-267.17M £1.06B £1.44B £-2537.12M £1.29B £717.02M £1.12B £67.35M £-168.49M £3.31B £3.10B
FCFS Free Cash Flow Per Share
£782.98 £112.49 £-186.00 £-362.52 £-75.32 £-16.33 £79.35 £106.20 £-174.78 £110.71 £53.65 £79.89 £4.13 £-12.61 £247.99 £226.49