RM7.65
RM0.00 (0.00%)
End-of-day quote: 05/21/2024
KLSE:VITROX

ViTrox Corporation Berhad Annual Report

Year Year 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2008 2007 2006 2005
Rev. Revenue
RM569.79M RM742.55M RM723.35M RM474.59M RM339.59M RM394.68M RM327.49M RM234.03M RM160.29M RM169.94M RM106.10M RM88.87M RM79.20M RM87.61M RM26.41M RM36.17M RM24.47M RM9.13M
GM % Gross Margin %
62.55% 63.20% 58.52% 61.20% 64.88% 66.25% 67.57% 67.52% 68.13% 63.82% 60.57% 58.24% 58.40% 65.94% 72.26% 70.44% 74.04% 83.67%
OM Operating Margin
46.31% 46.62% 42.42% 43.20% 48.49% 48.00% 49.91% 51.85% 55.74% 48.13% 45.57% 44.94% 45.85% 37.15% 48.36% 41.11% 40.90% 52.13%
EPS Earnings Per Share
RM0.00 RM0.13 RM0.19 RM0.36 RM0.11 RM0.08 RM0.11 RM0.09 RM0.07 RM0.05 RM0.05 RM0.03 RM0.02 RM0.02 RM0.03 RM0.01 RM0.02 RM0.01 RM0.01
Div. Dividends
RM0.04 RM0.04 RM0.05 RM0.03 RM0.01 RM0.03 RM0.02 RM0.02 RM0.01 RM0.02 RM0.01 RM0.01 RM0.01 RM0.01 RM0.00 RM0.00 RM0.00 RM0.00
PR % Payout Ratio %
30.77% 21.05% 13.89% 27.27% 12.50% 27.27% 22.22% 28.57% 20.00% 40.00% 33.33% 50.00% 50.00% 33.33% 0.00% 0.00% 0.00% 0.00%
Sha. Shares
945.35m 944.66m 944.53m 944.11m 942.01m 941.11m 940.32m 937.39m 933.69m 930.94m 924.97m 925.04m 929.08m 913.71m 930m 930m 930m 930m
OCF Operating Cash Flow
RM143.99M RM167.89M RM110.04M RM97.80M RM86.31M RM47.31M RM66.76M RM80.34M RM14.01M RM34.42M RM7.95M RM3.08M RM10.49M RM20.89M RM14.41M RM14.03M RM5.61M RM2.71M
FCF Free Cash Flow
RM142.33M RM124.51M RM91.28M RM93.50M RM74.45M RM19.18M RM20.23M RM21.11M RM9.33M RM28.93M RM3.57M RM-0.82M RM-6.03M RM17.30M RM13.78M RM13.34M RM2.00M RM-1.64M
FCFS Free Cash Flow Per Share
RM0.07 RM0.13 RM0.10 RM0.10 RM0.08 RM0.02 RM0.02 RM0.02 RM0.01 RM0.03 RM0.00 RM-0.00 RM-0.01 RM0.02 RM0.01 RM0.01 RM0.00 RM-0.00