₨609.00
₨0.00 (0.00%)
End-of-day quote: 04/26/2024
KASE:PSMC

Pak Suzuki Motor Company Annual Report

Year Year 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005
Rev. Revenue
₨99.83B ₨197.49B ₨158.50B ₨74.93B ₨116.55B ₨119.85B ₨101.81B ₨76.52B ₨84.55B ₨53.66B ₨51.06B ₨58.53B ₨52.72B ₨42.64B ₨26.23B ₨39.67B ₨50.84B ₨47.19B ₨35.37B
GM % Gross Margin %
17.16% 5.88% 5.10% 4.33% 1.63% 5.68% 9.60% 9.37% 13.73% 7.76% 6.31% 3.97% 3.52% 2.33% 2.14% 1.45% 9.36% 11.78% 10.10%
OM Operating Margin
8.95% 2.72% 1.51% -0.19% -2.66% 1.56% 4.75% 4.54% 9.06% 3.99% 3.03% 1.74% 1.78% 0.39% -0.31% 0.55% 8.70% 11.34% 10.17%
EPS Earnings Per Share
₨0.00 ₨-122.35 ₨-77.00 ₨32.56 ₨-19.31 ₨-35.49 ₨15.77 ₨46.49 ₨33.69 ₨70.99 ₨23.35 ₨22.47 ₨11.88 ₨9.65 ₨2.57 ₨3.10 ₨7.59 ₨32.51 ₨41.33 ₨27.59
Div. Dividends
₨0.00 ₨0.00 ₨6.50 ₨0.00 ₨0.00 ₨3.16 ₨18.60 ₨5.50 ₨15.00 ₨5.00 ₨4.00 ₨2.50 ₨2.00 ₨0.50 ₨0.50 ₨1.00 ₨5.00 ₨3.33 ₨3.33
PR % Payout Ratio %
0 -0.00% 19.96% -0.00% -0.00% 20.04% 40.01% 16.33% 21.13% 21.41% 17.80% 21.04% 20.73% 19.46% 16.13% 13.18% 15.38% 8.06% 12.07%
Sha. Shares
82.3m 82.3m 82.3m 82.3m 82.3m 82.3m 82.3m 82.3m 82.3m 82.3m 82.3m 82.3m 82.3m 82.3m 82.3m 82.3m 86.02m 118.72m 81.1m
OCF Operating Cash Flow
₨22.31B ₨-29776.21M ₨19.95B ₨34.89B ₨-16191.76M ₨-9333.75M ₨4.20B ₨-3041.25M ₨13.54B ₨983.85M ₨2.06B ₨701.85M ₨-1296.89M ₨-165.73M ₨1.97B ₨-2151.36M ₨0.00M ₨0.00M ₨0.00M
FCF Free Cash Flow
₨21.18B ₨-32920.37M ₨13.90B ₨34.09B ₨-19095.13M ₨-17733.93M ₨680.29M ₨-6164.11M ₨12.80B ₨102.97M ₨120.62M ₨221.57M ₨-2182.38M ₨-696.33M ₨894.29M ₨-3351.36M ₨0.00M ₨0.00M ₨0.00M
FCFS Free Cash Flow Per Share
₨153.94 ₨-401.29 ₨168.84 ₨413.73 ₨-232.57 ₨-216.39 ₨5.89 ₨-75.65 ₨155.56 ₨-1.15 ₨1.29 ₨0.23 ₨-27.08 ₨-12.94 ₨8.28 ₨-41.61 ₨0.00 ₨0.00 ₨0.00