₨875.89
₨-6.21 (-0.70%)
End-of-day quote: 05/22/2024
KASE:LUCK

Lucky Cement Annual Report

Year Year 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005 2004
Rev. Revenue
₨385.13B ₨331.46B ₨207.16B ₨123.77B ₨108.30B ₨97.54B ₨87.38B ₨82.06B ₨82.12B ₨81.15B ₨56.05B ₨33.32B ₨26.02B ₨24.51B ₨26.33B ₨16.96B ₨12.52B ₨8.05B ₨3.98B ₨2.91B
GM % Gross Margin %
24.31% 19.06% 22.93% 15.29% 21.94% 26.22% 33.08% 33.88% 31.14% 28.57% 32.80% 38.18% 33.48% 32.56% 37.26% 25.69% 29.35% 37.00% 34.66% 37.84%
OM Operating Margin
19.27% 12.41% 13.08% 5.14% 12.32% 17.07% 23.65% 24.29% 21.17% 19.20% 21.54% 25.72% 18.59% 16.26% 27.41% 18.14% 28.79% 34.39% 32.52% 35.57%
EPS Earnings Per Share
₨0.00 ₨135.93 ₨91.22 ₨70.69 ₨18.96 ₨35.03 ₨45.83 ₨50.18 ₨45.99 ₨42.54 ₨36.78 ₨30.33 ₨20.97 ₨12.28 ₨9.70 ₨14.21 ₨9.84 ₨9.67 ₨7.35 ₨3.14 ₨2.61
Div. Dividends
₨18.00 ₨0.00 ₨0.00 ₨0.00 ₨6.50 ₨13.00 ₨12.00 ₨10.00 ₨9.00 ₨9.00 ₨8.00 ₨6.00 ₨4.00 ₨4.00 ₨4.00 ₨0.00 ₨1.25 ₨1.00 ₨0.00 ₨0.00
PR % Payout Ratio %
13.24% 0.00% 0.00% 0.00% 18.56% 28.37% 23.91% 21.74% 21.16% 24.47% 26.38% 28.61% 32.57% 41.24% 28.15% 0.00% 12.93% 13.61% 0.00% 0.00%
Sha. Shares
311.84m 323.34m 323.38m 323.38m 323.38m 323.38m 323.38m 323.38m 323.38m 323.38m 323.38m 323.38m 323.38m 323.38m 323.38m 323.38m 263.38m 263.38m 263.38m 263.38m
OCF Operating Cash Flow
₨57.83B ₨-29483.74M ₨35.33B ₨6.84B ₨24.98B ₨15.49B ₨22.03B ₨20.79B ₨25.73B ₨16.91B ₨11.22B ₨9.37B ₨4.07B ₨5.27B ₨6.51B ₨1.28B ₨1.85B ₨2.72B ₨1.49B ₨805.85M
FCF Free Cash Flow
₨33.53B ₨-13521.61M ₨6.98B ₨-48515.19M ₨-40988.53M ₨-4344.35M ₨10.67B ₨13.40B ₨15.87B ₨11.30B ₨8.33B ₨8.32B ₨2.17B ₨2.95B ₨735.44M ₨-5295.06M ₨-193.77M ₨-3330.45M ₨-7026.09M ₨-202.09M
FCFS Free Cash Flow Per Share
₨105.19 ₨-263.33 ₨21.60 ₨-150.03 ₨-126.75 ₨-13.43 ₨33.00 ₨41.45 ₨48.94 ₨34.95 ₨25.75 ₨25.74 ₨6.71 ₨9.11 ₨2.27 ₨-19.46 ₨-0.74 ₨-12.65 ₨-26.68 ₨-0.77