₩45150.00
₩0.00 (0.00%)
End-of-day quote: 05/15/2024
KOSE:A108670

LX Hausys Annual Report

Year Year 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2010
Rev. Revenue
₩3.53T ₩3.61T ₩3.47T ₩3.04T ₩3.19T ₩3.27T ₩3.21T ₩2.93T ₩2.69T ₩2.79T ₩2.68T ₩2.45T ₩2.24T
GM % Gross Margin %
23.84% 21.05% 23.98% 24.79% 23.43% 22.37% 24.80% 27.15% 27.53% 24.05% 22.97% 21.54% 20.17%
OM Operating Margin
3.14% 0.39% 1.90% 2.34% 2.13% 2.15% 4.53% 5.36% 5.78% 5.20% 4.28% 2.31% 2.81%
EPS Earnings Per Share
₩0.00 ₩9.02k ₩-11153.00 ₩1.21k ₩-7770.00 ₩1.48k ₩-1825.96 ₩6.82k ₩8.05k ₩7.19k ₩6.47k ₩7.38k ₩3.94k ₩4.25k
Div. Dividends
₩200.00 ₩200.00 ₩300.00 ₩300.00 ₩250.00 ₩1.80k ₩1.80k ₩1.80k ₩1.80k ₩1.80k ₩1000.00 ₩1000.00 ₩0.00
PR % Payout Ratio %
2.22% -1.79% 24.73% -3.86% 16.88% -98.58% 26.41% 22.37% 25.05% 27.82% 13.56% 25.40% 0
Sha. Shares
9.98m 9.98m 9.98m 9.98m 9.98m 9.98m 9.98m 10m 9.98m 9.98m 9.98m 9.98m 8.95m
OCF Operating Cash Flow
₩371.34B ₩72.00B ₩130.73B ₩463.88B ₩343.97B ₩140.66B ₩27.43B ₩152.22B ₩92.64B ₩161.76B ₩145.56B ₩94.56B ₩101.46B
FCF Free Cash Flow
₩172.90B ₩-142976.00M ₩-60131.00M ₩304.91B ₩160.36B ₩-113528.00M ₩-191090.00M ₩-38414.00M ₩-109194.00M ₩-99471.00M ₩-71267.00M ₩-108641.00M ₩-84708.00M
FCFS Free Cash Flow Per Share
₩27.00k ₩-14243.47 ₩-6189.04 ₩30.90k ₩15.86k ₩-11653.99 ₩-19278.09 ₩-4282.82 ₩-15974.55 ₩-10466.32 ₩-7554.98 ₩-11243.76 ₩-8655.31