₫29500.00
₫-50.00 (-0.17%)
End-of-day quote: 05/14/2024
HOSE:PVT

PetroVietnam Transportation Annual Report

Year Year 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2012 2009
Rev. Revenue
₫9.56T ₫9.05T ₫7.46T ₫7.38T ₫7.76T ₫7.52T ₫6.15T ₫6.73T ₫5.76T ₫5.27T ₫4.46T ₫1.93T
GM % Gross Margin %
19.24% 18.29% 16.59% 15.15% 15.35% 14.40% 13.76% 11.32% 13.49% 10.42% 10.34% 7.73%
OM Operating Margin
14.81% 13.64% 12.73% 11.56% 11.96% 10.66% 9.82% 7.82% 9.68% 6.71% 4.78% 2.89%
EPS Earnings Per Share
₫0.00 ₫2.75k ₫2.27k ₫2.06k ₫1.90k ₫2.11k ₫1.99k ₫1.29k ₫1.28k ₫1.13k ₫1.05k ₫322.67 ₫45.99
Div. Dividends
₫681.82 ₫1000.00 ₫1000.00 ₫1000.00 ₫347.83 ₫869.57 ₫869.57 ₫869.57 ₫0.00 ₫790.51 ₫0.00 ₫0.00
PR % Payout Ratio %
24.76% 43.99% 48.64% 52.77% 16.52% 43.71% 67.25% 68.12% 0 75.02% 0 0
Sha. Shares
356.02m 323.65m 323.65m 323.65m 323.66m 323.66m 323.66m 323.66m 323.66m 323.66m 323.66m 189.82m
OCF Operating Cash Flow
₫1.70T ₫2.17T ₫828.61B ₫1.54T ₫1.18T ₫930.90B ₫745.13B ₫1.23T ₫790.72B ₫590.17B ₫678.54B ₫442.16B
FCF Free Cash Flow
₫-621000.00M ₫457.65B ₫-236359.81M ₫1.47T ₫-595912.69M ₫-472066.01M ₫319.18B ₫865.61B ₫359.93B ₫9.98B ₫584.22B ₫-1187128.67M
FCFS Free Cash Flow Per Share
₫-6985.53 ₫1.58k ₫-3420.02 ₫4.20k ₫-1989.95 ₫-1445.28 ₫986.16 ₫2.67k ₫1.31k ₫30.84 ₫1.81k ₫-6253.91