₦255.70
₦0.00 (0.00%)
End-of-day quote: 05/17/2024
NGSE:OKOMUOIL

The Okomu Oil Palm Company Plc Annual Report

Year Year 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011
Rev. Revenue
₦75.52B ₦59.79B ₦37.62B ₦25.47B ₦21.42B ₦23.70B ₦24.01B ₦16.66B ₦11.19B ₦9.31B ₦8.86B ₦11.03B ₦11.47B
GM % Gross Margin %
81.37% 78.19% 79.93% 79.68% 76.40% 80.54% 81.81% 80.34% 82.60% 77.53% 78.80% 82.19% 77.19%
OM Operating Margin
39.44% 41.53% 43.31% 34.58% 34.47% 43.42% 46.34% 41.68% 29.26% 20.83% 16.72% 54.03% 51.60%
EPS Earnings Per Share
₦0.00 ₦22.19 ₦18.17 ₦14.72 ₦7.74 ₦5.77 ₦8.91 ₦9.59 ₦5.15 ₦2.76 ₦1.63 ₦2.91 ₦9.00 ₦4.12
Div. Dividends
₦18.50 ₦9.00 ₦8.00 ₦3.50 ₦2.00 ₦3.00 ₦3.00 ₦1.50 ₦0.10 ₦0.25 ₦1.00 ₦3.50 ₦0.00
PR % Payout Ratio %
83.37% 49.53% 54.35% 45.22% 34.66% 33.67% 31.28% 29.13% 3.62% 15.34% 34.36% 38.89% 0
Sha. Shares
953.91m 953.91m 953.91m 953.91m 953.91m 953.91m 953.91m 953.91m 953.91m 953.91m 953.91m 953.91m 953.91m
OCF Operating Cash Flow
₦27.20B ₦23.30B ₦24.13B ₦10.49B ₦1.42B ₦9.31B ₦9.63B ₦5.95B ₦3.95B ₦3.17B ₦2.67B ₦5.17B ₦4.55B
FCF Free Cash Flow
₦19.30B ₦12.71B ₦10.52B ₦1.39B ₦-2985.31M ₦2.51B ₦2.86B ₦3.32B ₦1.52B ₦-1975.52M ₦-1036.45M ₦3.09B ₦3.33B
FCFS Free Cash Flow Per Share
₦20.23 ₦13.32 ₦11.09 ₦1.46 ₦-3.13 ₦2.64 ₦3.00 ₦3.48 ₦0.85 ₦-2.06 ₦-1.08 ₦3.24 ₦3.49