₩119200.00
₩0.00 (0.00%)
End-of-day quote: 05/17/2024
KOSE:A011170

Lotte Chemical Annual Report

Year Year 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011
Rev. Revenue
₩19.95T ₩22.28T ₩18.12T ₩12.22T ₩15.12T ₩16.07T ₩15.87T ₩13.22T ₩11.71T ₩14.86T ₩16.44T ₩15.90T ₩15.70T
GM % Gross Margin %
3.83% 1.20% 13.52% 9.31% 12.59% 16.76% 23.74% 24.57% 17.60% 5.35% 5.52% 4.96% 12.03%
OM Operating Margin
-1.80% -3.42% 8.47% 2.92% 7.31% 12.11% 18.46% 19.25% 13.75% 2.36% 2.96% 2.34% 9.36%
EPS Earnings Per Share
₩0.00 ₩-215.34 ₩1.80k ₩39.26k ₩4.62k ₩23.83k ₩46.07k ₩65.63k ₩54.49k ₩29.46k ₩4.36k ₩8.55k ₩10.19k ₩30.70k
Div. Dividends
₩2.40k ₩3.50k ₩8.30k ₩6.70k ₩10.50k ₩10.50k ₩4.00k ₩2.50k ₩1000.00 ₩1000.00 ₩1000.00 ₩1.75k ₩1.75k
PR % Payout Ratio %
-1116.01% 194.23% 21.14% 144.93% 44.06% 22.79% 6.10% 4.59% 3.39% 22.94% 11.70% 17.18% 5.70%
Sha. Shares
42.17m 33.99m 34.28m 34.28m 34.28m 34.28m 34.28m 33.69m 33.69m 33.69m 33.69m 33.65m 31.86m
OCF Operating Cash Flow
₩789.53B ₩-167465.44M ₩1.49T ₩1.31T ₩1.28T ₩1.38T ₩3.13T ₩2.70T ₩2.60T ₩308.48B ₩359.30B ₩102.81B ₩1.62T
FCF Free Cash Flow
₩-2465290.34M ₩-2767475.23M ₩710.88B ₩508.60B ₩385.63B ₩-465521.77M ₩1.11T ₩1.11T ₩2.24T ₩17.50B ₩70.05B ₩-495279.31M ₩685.34B
FCFS Free Cash Flow Per Share
₩-68431.63 ₩-80929.14 ₩20.74k ₩14.79k ₩7.10k ₩-13622.63 ₩32.37k ₩32.25k ₩66.24k ₩516.73 ₩1.28k ₩-15894.07 ₩21.38k