₩62900.00
+ ₩600.00 (0.96%)
End-of-day quote: 05/22/2024
KOSE:A139480

E-MART Annual Report

Year Year 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011
Rev. Revenue
₩29.47T ₩29.33T ₩24.93T ₩22.03T ₩19.06T ₩17.05T ₩15.51T ₩14.62T ₩13.64T ₩13.15T ₩13.04T ₩12.69T ₩11.96T
GM % Gross Margin %
29.34% 28.04% 26.76% 26.07% 25.35% 26.65% 27.90% 27.88% 27.57% 27.67% 27.41% 27.19% 27.13%
OM Operating Margin
-0.16% 0.46% 1.26% 1.06% 0.79% 2.76% 3.77% 3.89% 3.69% 4.42% 5.64% 5.79% 6.62%
EPS Earnings Per Share
₩0.00 ₩-3864.00 ₩37.53k ₩56.15k ₩12.38k ₩7.62k ₩15.54k ₩20.16k ₩13.50k ₩16.32k ₩10.41k ₩16.77k ₩15.24k ₩10.98k
Div. Dividends
₩2.00k ₩2.00k ₩2.01k ₩2.00k ₩2.00k ₩2.00k ₩1.75k ₩1.50k ₩1.50k ₩1.50k ₩1.50k ₩1.50k ₩750.00
PR % Payout Ratio %
-51.76% 5.33% 3.58% 16.16% 26.25% 12.87% 8.68% 11.11% 9.19% 14.41% 8.95% 9.84% 6.83%
Sha. Shares
26.79m 26.79m 27.79m 26.96m 26.96m 27.86m 27.86m 27.86m 27.86m 27.86m 27.86m 27.86m 27.86m
OCF Operating Cash Flow
₩1.14T ₩745.72B ₩987.14B ₩1.39T ₩815.76B ₩769.80B ₩898.21B ₩735.65B ₩733.91B ₩700.96B ₩802.70B ₩694.77B ₩893.06B
FCF Free Cash Flow
₩600.18B ₩358.18B ₩1.05T ₩1.01T ₩-315869.62M ₩-272588.90M ₩-123461.64M ₩-52351.18M ₩-272452.06M ₩-258144.76M ₩-39617.87M ₩-118462.81M ₩211.89B
FCFS Free Cash Flow Per Share
₩6.63k ₩-23032.26 ₩-5755.23 ₩27.04k ₩-12157.05 ₩-10514.11 ₩-5153.96 ₩-2704.73 ₩-10205.70 ₩-9792.57 ₩-2242.25 ₩-4600.83 ₩11.15k