₩8290.00
+ ₩30.00 (0.36%)
End-of-day quote: 05/15/2024
KOSE:A002350

Nexen Tire Annual Report

Year Year 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010
Rev. Revenue
₩2.70T ₩2.60T ₩2.08T ₩1.70T ₩2.02T ₩1.98T ₩1.96T ₩1.89T ₩1.84T ₩1.76T ₩1.73T ₩1.71T ₩1.43T ₩1.15T
GM % Gross Margin %
27.36% 16.61% 21.14% 25.81% 30.49% 28.32% 32.43% 36.25% 33.69% 31.90% 28.29% 26.36% 23.72% 29.81%
OM Operating Margin
6.92% -2.09% 0.21% 2.32% 10.25% 9.19% 9.44% 13.08% 12.23% 11.86% 10.24% 10.56% 7.85% 12.10%
EPS Earnings Per Share
₩0.00 ₩1.00k ₩-268.00 ₩45.00 ₩-162.00 ₩1.15k ₩1.01k ₩1.23k ₩1.71k ₩1.23k ₩1.27k ₩1.23k ₩1.34k ₩878.00 ₩865.00
Div. Dividends
₩115.00 ₩100.00 ₩105.00 ₩105.00 ₩105.00 ₩100.00 ₩100.00 ₩100.00 ₩80.00 ₩75.00 ₩100.00 ₩60.00 ₩60.00 ₩0.00
PR % Payout Ratio %
11.49% -37.31% 233.33% -64.81% 9.11% 9.92% 8.16% 5.84% 6.48% 5.89% 8.15% 4.49% 6.83% 0
Sha. Shares
102.66m 102.66m 102.66m 102.66m 102.66m 102.66m 102.66m 101.41m 101.41m 101.41m 99.92m 99.92m 99.92m 99.92m
OCF Operating Cash Flow
₩241.86B ₩-99406.72M ₩265.16B ₩179.09B ₩291.46B ₩156.98B ₩255.10B ₩383.19B ₩320.82B ₩303.51B ₩209.01B ₩145.69B ₩-14223.88M ₩110.29B
FCF Free Cash Flow
₩-135400.00M ₩-371609.59M ₩149.94B ₩61.66B ₩69.33B ₩-327438.45M ₩-28797.60M ₩352.91B ₩221.56B ₩45.47B ₩-53459.74M ₩-121675.87M ₩-364978.82M ₩132.85B
FCFS Free Cash Flow Per Share
₩-794.65 ₩-3619.69 ₩1.45k ₩603.32 ₩599.07 ₩-3406.64 ₩-289.44 ₩2.75k ₩1.56k ₩-170.15 ₩-567.98 ₩-1232.60 ₩-3651.23 ₩-401.56