₩182700.00
₩-2400.00 (-1.30%)
End-of-day quote: 05/17/2024
KOSE:A014680

Hansol Chemical Annual Report

Year Year 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2009
Rev. Revenue
₩771.65B ₩885.47B ₩768.69B ₩619.28B ₩544.31B ₩581.95B ₩521.57B ₩460.40B ₩368.03B ₩336.12B ₩317.05B ₩318.85B ₩297.03B ₩203.03B
GM % Gross Margin %
26.46% 29.90% 34.75% 34.43% 30.00% 26.90% 27.00% 29.85% 24.66% 19.60% 18.38% 16.97% 15.45% 18.96%
OM Operating Margin
16.09% 21.00% 25.72% 24.53% 20.42% 16.08% 15.18% 17.84% 13.31% 8.39% 8.75% 8.40% 8.15% 9.06%
EPS Earnings Per Share
₩0.00 ₩9.61k ₩14.15k ₩13.33k ₩10.31k ₩7.94k ₩6.33k ₩4.89k ₩5.31k ₩3.09k ₩1.93k ₩1.83k ₩3.40k ₩1.85k ₩1.62k
Div. Dividends
₩2.26k ₩2.10k ₩2.10k ₩1.80k ₩1.50k ₩1.20k ₩1000.00 ₩1000.00 ₩800.00 ₩600.00 ₩500.00 ₩500.00 ₩0.00 ₩0.00
PR % Payout Ratio %
23.51% 14.84% 15.75% 17.46% 18.89% 18.96% 20.46% 18.84% 25.92% 31.06% 27.35% 14.72% 0 0
Sha. Shares
10.88m 10.88m 11.13m 11.09m 11.09m 11.09m 11.09m 11.09m 11.09m 11.09m 11.09m 11.09m 10.09m 10.02m
OCF Operating Cash Flow
₩144.11B ₩173.62B ₩143.22B ₩165.04B ₩101.60B ₩100.58B ₩87.43B ₩96.88B ₩47.29B ₩32.41B ₩47.74B ₩30.22B ₩11.37B ₩32.88B
FCF Free Cash Flow
₩30.67B ₩62.09B ₩21.11B ₩79.82B ₩30.00B ₩-17650.97M ₩56.40B ₩58.48B ₩-11257.07M ₩-11528.79M ₩-37339.33M ₩-22644.29M ₩-28660.27M ₩22.94B
FCFS Free Cash Flow Per Share
₩-1391.88 ₩5.61k ₩1.87k ₩7.00k ₩2.70k ₩-1616.95 ₩4.96k ₩5.23k ₩-1210.86 ₩-1262.92 ₩-3733.81 ₩-2573.00 ₩-3173.52 ₩2.08k