₨2792.28
+ ₨73.68 (2.71%)
End-of-day quote: 05/14/2024
KASE:MARI

Mari Petroleum Company Annual Report

Year Year 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2012 2011
Rev. Revenue
₨128.22B ₨83.13B ₨63.70B ₨63.22B ₨51.87B ₨35.50B ₨24.59B ₨18.96B ₨16.86B ₨12.96B ₨6.59B ₨6.24B
GM % Gross Margin %
79.49% 79.69% 76.95% 79.46% 77.91% 72.05% 69.89% 69.83% 68.39% 66.41% 47.95% 51.99%
OM Operating Margin
60.22% 60.44% 63.11% 57.41% 63.52% 54.66% 44.97% 33.87% 44.29% 33.33% 18.06% 36.95%
EPS Earnings Per Share
₨0.00 ₨420.75 ₨247.84 ₨235.71 ₨227.23 ₨182.35 ₨115.25 ₨68.49 ₨45.36 ₨42.36 ₨29.56 ₨8.36 ₨12.93
Div. Dividends
₨147.00 ₨124.00 ₨141.00 ₨6.10 ₨5.45 ₨4.96 ₨4.21 ₨4.21 ₨4.31 ₨2.61 ₨2.32 ₨1.84
PR % Payout Ratio %
34.94% 50.03% 59.82% 2.68% 2.99% 4.30% 6.15% 9.28% 10.17% 8.83% 27.75% 14.23%
Sha. Shares
133.4m 133.4m 133.4m 133.4m 133.4m 133.4m 133.4m 133.4m 133.4m 133.41m 133.4m 133.4m
OCF Operating Cash Flow
₨56.20B ₨49.40B ₨30.14B ₨31.61B ₨20.44B ₨20.23B ₨7.12B ₨12.64B ₨6.61B ₨6.10B ₨1.24B ₨2.53B
FCF Free Cash Flow
₨43.29B ₨9.94B ₨3.94B ₨19.02B ₨10.58B ₨13.97B ₨6.03B ₨7.00B ₨5.53B ₨-968.27M ₨-378.17M ₨490.43M
FCFS Free Cash Flow Per Share
₨104.57 ₨74.53 ₨29.55 ₨142.57 ₨79.29 ₨104.70 ₨21.22 ₨52.48 ₨6.33 ₨-2.75 ₨-2.83 ₨3.68