RM1.18
RM0.00 (0.00%)
End-of-day quote: 05/16/2024
KLSE:ANNJOO

Ann Joo Resources Berhad 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
RM2.51B RM3.03B RM2.40B RM1.89B RM2.22B RM2.32B RM2.20B RM1.87B RM1.76B RM2.29B RM2.16B RM2.11B RM2.24B RM1.83B RM1.30B RM2.22B RM1.95B RM1.44B RM565.54M RM528.57M
GM % Gross Margin %
-4.90% -3.40% 11.29% 2.91% -1.93% 13.54% 19.08% 19.50% 1.65% 9.30% 9.17% 3.44% 8.36% 11.59% 8.30% 7.83% 17.22% 11.90% 11.61% 20.10%
OM Operating Margin
-4.90% -5.63% 11.29% -1.32% -5.46% 8.02% 13.14% 13.03% -4.71% 3.44% 2.81% -0.54% 3.89% 8.57% 4.51% 5.62% 11.86% 10.10% 8.30% 16.98%
EPS Earnings Per Share
RM0.00 RM-0.21 RM-0.21 RM0.56 RM-0.10 RM-0.17 RM0.25 RM0.34 RM0.33 RM-0.27 RM0.05 RM0.02 RM-0.04 RM0.10 RM0.18 RM0.05 RM0.20 RM0.36 RM0.23 RM0.04 RM0.14
Div. Dividends
RM0.00 RM0.00 RM0.12 RM0.00 RM0.01 RM0.12 RM0.19 RM0.09 RM0.01 RM0.03 RM0.00 RM0.00 RM0.08 RM0.12 RM0.06 RM0.12 RM0.11 RM0.11 RM0.09 RM0.08
PR % Payout Ratio %
-0.00% -0.00% 21.43% -0.00% -5.88% 48.00% 55.88% 27.27% -3.70% 60.00% 0.00% -0.00% 80.00% 66.67% 120.00% 60.00% 30.56% 47.83% 225.00% 57.14%
Sha. Shares
561.4m 561.35m 542.74m 539.59m 539.59m 538.72m 515.05m 500.69m 500.58m 500.6m 500.65m 500.67m 501.16m 502.12m 502.68m 502.7m 521.54m 506.25m 409.71m 397.49m
OCF Operating Cash Flow
RM-122.85M RM-53.54M RM-68.52M RM92.27M RM70.86M RM-59.10M RM193.17M RM340.05M RM135.51M RM470.76M RM-115.93M RM-64.90M RM105.51M RM-350.27M RM284.97M RM-97.61M RM113.81M RM125.90M RM9.02M RM-7.26M
FCF Free Cash Flow
RM-339.45M RM-106.13M RM-74.49M RM84.16M RM31.74M RM-101.54M RM160.17M RM315.76M RM122.85M RM455.88M RM-134.77M RM-123.55M RM-1.94M RM-518.93M RM153.19M RM-383.18M RM96.30M RM110.53M RM1.33M RM-12.20M
FCFS Free Cash Flow Per Share
RM-0.34 RM-0.20 RM-0.14 RM0.15 RM0.07 RM-0.19 RM0.31 RM0.64 RM0.25 RM0.91 RM-0.27 RM-0.25 RM-0.00 RM-1.03 RM0.30 RM-0.75 RM0.19 RM0.32 RM0.00 RM-0.03