₩62000.00
₩0.00 (0.00%)
End-of-day quote: 05/17/2024
KOSE:A004800

Hyosung Annual Report

Year Year 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010
Rev. Revenue
₩3.44T ₩3.72T ₩3.54T ₩2.78T ₩3.18T ₩3.00T ₩2.69T ₩11.93T ₩12.46T ₩12.18T ₩12.58T ₩12.61T ₩11.34T ₩10.15T
GM % Gross Margin %
11.84% 10.04% 26.44% 14.90% 14.95% 14.99% 12.93% 18.09% 16.28% 13.23% 11.80% 8.99% 9.74% 14.77%
OM Operating Margin
2.75% 1.75% 18.11% 4.69% 6.13% 5.07% 0.59% 8.40% 7.59% 4.92% 3.86% 1.73% 2.45% 7.41%
EPS Earnings Per Share
₩0.00 ₩2.66k ₩786.00 ₩22.01k ₩-2632.00 ₩5.10k ₩18.25k ₩24.91k ₩34.85k ₩37.70k ₩20.60k ₩-17536.90 ₩9.37k ₩-3581.71 ₩20.39k
Div. Dividends
₩4.50k ₩4.50k ₩6.50k ₩5.00k ₩5.00k ₩5.00k ₩12.73k ₩8.91k ₩5.09k ₩2.55k ₩2.55k ₩2.55k ₩0.00 ₩3.18k
PR % Payout Ratio %
169.43% 572.52% 29.53% -189.97% 98.04% 27.40% 51.09% 25.56% 13.51% 12.36% -14.52% 27.18% 0 15.61%
Sha. Shares
19.91m 19.91m 19.91m 19.91m 20.33m 20.33m 13.07m 13.07m 13.07m 13.07m 13.07m 13.07m 13.07m 13.07m
OCF Operating Cash Flow
₩398.84B ₩168.21B ₩-71291.49M ₩278.19B ₩140.83B ₩264.01B ₩684.62B ₩1.81T ₩1.33T ₩906.79B ₩544.99B ₩458.95B ₩-529286.11M ₩109.12B
FCF Free Cash Flow
₩41.50B ₩95.43B ₩-165267.98M ₩217.57B ₩140.27B ₩-94092.31M ₩-19639.50M ₩909.67B ₩631.81B ₩130.00B ₩-95042.31M ₩-433346.00M ₩-1616131.04M ₩-498042.00M
FCFS Free Cash Flow Per Share
₩17.61k ₩4.81k ₩-8864.33 ₩10.78k ₩3.18k ₩-4840.21 ₩-889.60 ₩67.30k ₩46.35k ₩7.28k ₩-10338.84 ₩-49217.42 ₩-127421.22 ₩-40881.58