₨40.13
+ ₨0.36 (0.91%)
End-of-day quote: 05/16/2024
KASE:MLCF

Maple Leaf Cement Factory Annual Report

Year Year 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2011 2010 2009 2007 2006 2005 2004
Rev. Revenue
₨62.08B ₨48.52B ₨35.64B ₨29.12B ₨26.01B ₨25.68B ₨23.89B ₨23.42B ₨20.72B ₨18.97B ₨17.36B ₨13.07B ₨13.63B ₨15.25B ₨3.71B ₨5.71B ₨4.29B ₨3.38B
GM % Gross Margin %
28.37% 27.29% 24.13% 2.01% 23.31% 31.27% 39.25% 42.76% 36.18% 34.39% 34.83% 16.64% 21.52% 32.49% 8.29% 37.59% 38.82% 43.73%
OM Operating Margin
22.03% 20.73% 17.25% -3.92% 16.28% 24.23% 29.11% 32.58% 26.97% 26.53% 27.92% 1.24% -3.93% 16.00% 5.18% 34.67% 28.63% 31.16%
EPS Earnings Per Share
₨0.00 ₨5.38 ₨4.15 ₨3.49 ₨-3.89 ₨4.14 ₨7.92 ₨9.05 ₨9.18 ₨6.55 ₨5.36 ₨6.11 ₨-3.72 ₨-7.08 ₨-2.70 ₨0.36 ₨3.29 ₨2.45 ₨2.08
Div. Dividends
₨0.30 ₨0.00 ₨0.00 ₨0.00 ₨0.50 ₨2.50 ₨3.75 ₨4.00 ₨2.00 ₨0.00 ₨0.00 ₨0.00 ₨0.00 ₨0.00 ₨1.00 ₨1.50 ₨1.36 ₨1.16
PR % Payout Ratio %
5.58% 0.00% 0.00% -0.00% 12.08% 31.57% 41.44% 43.57% 30.53% 0.00% 0 0 0 0 277.78% 45.59% 55.51% 55.77%
Sha. Shares
1073.35m 1098.35m 1098.35m 1098.35m 593.7m 593.7m 527.73m 527.73m 527.73m 527.73m 527.73m 526.71m 372.26m 372.26m 372.26m 297.81m 297.81m 198.54m
OCF Operating Cash Flow
₨19.85B ₨9.39B ₨8.42B ₨1.13B ₨7.23B ₨5.91B ₨5.31B ₨8.16B ₨6.57B ₨5.94B ₨5.04B ₨1.62B ₨1.74B ₨3.40B ₨395.89M ₨1.68B ₨1.38B ₨1.61B
FCF Free Cash Flow
₨10.77B ₨-6486.16M ₨5.14B ₨1.09B ₨-1163.10M ₨-14363.88M ₨-1460.25M ₨6.25B ₨5.79B ₨5.18B ₨4.55B ₨944.96M ₨38.54M ₨2.04B ₨-3295.05M ₨-6334.35M ₨-1863.22M ₨1.25B
FCFS Free Cash Flow Per Share
₨10.03 ₨-5.92 ₨4.68 ₨0.27 ₨-1.97 ₨-25.41 ₨-2.82 ₨11.85 ₨9.97 ₨9.80 ₨8.27 ₨1.93 ₨0.03 ₨5.35 ₨-10.30 ₨-19.92 ₨-7.55 ₨5.60