₫116300.00
+ ₫2700.00 (2.32%)
End-of-day quote: 05/14/2024
HOSE:BMP

Binh Minh Plastics Joint Stock Annual Report

Year Year 2023 2022 2021 2020 2019 2018 2017 2016 2015 2013 2012 2011
Rev. Revenue
₫5.16T ₫5.81T ₫4.55T ₫4.69T ₫4.34T ₫3.92T ₫3.82T ₫3.31T ₫2.79T ₫2.09T ₫1.89T ₫1.83T
GM % Gross Margin %
41.04% 27.68% 15.46% 26.61% 22.78% 22.25% 24.13% 32.05% 31.87% 29.79% 31.16% 25.76%
OM Operating Margin
25.85% 16.79% 7.36% 14.90% 13.86% 15.52% 17.33% 23.52% 23.92% 23.29% 24.60% 20.64%
EPS Earnings Per Share
₫0.00 ₫12.72k ₫8.51k ₫2.62k ₫6.39k ₫5.16k ₫5.23k ₫5.76k ₫7.66k ₫6.11k ₫4.52k ₫4.37k ₫3.60k
Div. Dividends
₫11.60k ₫5.54k ₫1.25k ₫6.32k ₫4.00k ₫4.00k ₫4.00k ₫0.00 ₫1.11k ₫0.00 ₫854.70 ₫474.83
PR % Payout Ratio %
91.22% 65.08% 47.75% 98.98% 77.46% 76.50% 69.47% 0 18.19% 0 19.55% 13.20%
Sha. Shares
81.86m 81.86m 81.86m 81.86m 81.86m 81.86m 81.86m 81.86m 81.86m 81.86m 81.86m 81.86m
OCF Operating Cash Flow
₫1.60T ₫799.14B ₫-30689.02M ₫918.58B ₫963.76B ₫122.93B ₫741.59B ₫406.77B ₫565.09B ₫144.94B ₫420.38B ₫171.69B
FCF Free Cash Flow
₫1.06T ₫728.00B ₫-76064.11M ₫795.66B ₫711.13B ₫24.94B ₫325.23B ₫91.74B ₫419.49B ₫132.21B ₫350.80B ₫83.26B
FCFS Free Cash Flow Per Share
₫18.87k ₫8.91k ₫-2321.27 ₫10.05k ₫9.23k ₫304.62 ₫3.98k ₫1.12k ₫5.12k ₫1.61k ₫4.29k ₫1.02k