﷼9.93
﷼-0.02 (-0.20%)
End-of-day quote: 05/13/2024
DSM:ORDS

Ooredoo Q.P.S.C. Annual Report

Year Year 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006
Rev. Revenue
﷼23.29B ﷼22.86B ﷼30.30B ﷼28.87B ﷼29.92B ﷼29.93B ﷼32.65B ﷼32.50B ﷼32.16B ﷼33.21B ﷼33.85B ﷼33.48B ﷼31.74B ﷼27.38B ﷼24.03B ﷼20.32B ﷼10.54B ﷼4.42B
GM % Gross Margin %
43.24% 41.82% 45.52% 61.23% 61.48% 58.92% 61.46% 62.19% 63.28% 62.55% 66.27% 68.10% 69.29% 66.92% 67.59% 92.51% 91.14% 83.71%
OM Operating Margin
20.00% 18.11% 16.18% 12.00% 12.40% 10.77% 14.40% 14.02% 14.46% 14.57% 19.33% 22.72% 23.79% 21.76% 21.97% 23.74% 23.57% 38.41%
EPS Earnings Per Share
﷼0.00 ﷼1.02 ﷼0.88 ﷼0.69 ﷼0.35 ﷼0.54 ﷼0.53 ﷼0.62 ﷼0.74 ﷼0.75 ﷼0.67 ﷼0.82 ﷼1.11 ﷼0.68 ﷼1.26 ﷼1.36 ﷼1.18 ﷼0.92 ﷼0.93
Div. Dividends
﷼0.55 ﷼0.43 ﷼0.30 ﷼0.25 ﷼0.25 ﷼0.25 ﷼0.35 ﷼0.35 ﷼0.30 ﷼0.40 ﷼0.40 ﷼0.50 ﷼0.23 ﷼0.32 ﷼0.45 ﷼0.64 ﷼0.22 ﷼0.55
PR % Payout Ratio %
53.92% 48.86% 43.48% 71.43% 46.30% 47.17% 56.45% 47.30% 40.00% 59.70% 48.78% 45.05% 33.82% 25.40% 33.09% 54.24% 23.91% 59.14%
Sha. Shares
3203.2m 3203.2m 3203.2m 3203.2m 3203.2m 3203.2m 3203.2m 3203.2m 3203.2m 3203.2m 3203.2m 3203.2m 2,288m 2288.01m 2,288m 2289.81m 1,716m 1,716m
OCF Operating Cash Flow
﷼8.36B ﷼6.68B ﷼7.98B ﷼11.11B ﷼11.76B ﷼7.87B ﷼9.43B ﷼9.19B ﷼9.89B ﷼10.75B ﷼11.53B ﷼11.82B ﷼7.91B ﷼10.20B ﷼9.97B ﷼5.60B ﷼6.52B ﷼2.21B
FCF Free Cash Flow
﷼4.16B ﷼3.51B ﷼3.24B ﷼5.48B ﷼5.87B ﷼3.20B ﷼4.40B ﷼3.61B ﷼1.35B ﷼2.36B ﷼2.24B ﷼3.56B ﷼1.06B ﷼3.25B ﷼1.58B ﷼-65.49M ﷼4.46B ﷼1.18B
FCFS Free Cash Flow Per Share
﷼1.64 ﷼1.10 ﷼0.63 ﷼1.54 ﷼1.76 ﷼0.82 ﷼1.37 ﷼0.26 ﷼-0.14 ﷼0.00 ﷼0.54 ﷼1.20 ﷼0.39 ﷼1.34 ﷼0.20 ﷼-0.61 ﷼-0.08 ﷼0.69