Rp1805.45
+ Rp36.60 (2.07%)
End-of-day quote: 05/16/2024
NSEI:TATACOMM

Tata Communications Annual Report

Year Year 2024 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005
Rev. Revenue
Rp209.69B Rp178.38B Rp167.25B Rp171.00B Rp170.68B Rp165.26B Rp167.85B Rp176.99B Rp182.28B Rp199.13B Rp177.14B Rp172.13B Rp141.96B Rp119.32B Rp110.26B Rp100.72B Rp84.15B Rp86.49B Rp45.62B Rp33.08B
GM % Gross Margin %
40.20% 34.26% 34.75% 34.89% 31.99% 31.32% 27.97% 27.17% 26.63% 28.56% 24.29% 22.57% 23.20% 20.52% 21.47% 28.61% 27.64% 24.55% 24.83% 41.64%
OM Operating Margin
8.40% 11.53% 12.09% 11.38% 5.62% 4.10% 3.09% 4.06% 4.32% 4.33% 3.41% 0.28% -0.11% -1.88% -3.53% 4.10% 2.98% 4.67% 3.20% 14.53%
EPS Earnings Per Share
Rp0.00 Rp40.72 Rp65.31 Rp51.84 Rp45.92 Rp10.70 Rp-2.97 Rp1.65 Rp10.50 Rp1.64 Rp4.13 Rp3.03 Rp-25.53 Rp-27.88 Rp-27.61 Rp-20.97 Rp1.73 Rp10.94 Rp17.18 Rp18.40 Rp14.34
Div. Dividends
Rp18.50 Rp21.00 Rp20.70 Rp14.00 Rp4.00 Rp4.50 Rp4.50 Rp4.50 Rp4.30 Rp5.50 Rp4.50 Rp3.00 Rp2.00 Rp2.00 Rp0.00 Rp4.50 Rp4.50 Rp4.50 Rp4.50 Rp6.00
PR % Payout Ratio %
45.43% 32.15% 39.93% 30.49% 37.38% -151.52% 272.73% 42.86% 262.20% 133.17% 148.51% -11.75% -7.17% -7.24% -0.00% 260.12% 41.13% 26.19% 24.46% 41.84%
Sha. Shares
284.99m 285m 285m 285m 285m 285m 285m 285m 285m 285m 285m 285m 285m 285m 285m 285m 285m 285m 285m 285m
OCF Operating Cash Flow
Rp31.82B Rp43.84B Rp42.04B Rp31.80B Rp25.25B Rp18.44B Rp17.13B Rp23.94B Rp23.63B Rp30.28B Rp30.62B Rp24.55B Rp17.53B Rp12.06B Rp15.53B Rp16.71B Rp12.85B Rp8.27B Rp9.53B Rp3.17B
FCF Free Cash Flow
Rp1.68B Rp28.91B Rp25.47B Rp18.16B Rp8.44B Rp954.40M Rp921.00M Rp5.80B Rp3.23B Rp10.14B Rp12.49B Rp6.98B Rp-4602.00M Rp-4822.00M Rp-12209.50M Rp-15513.00M Rp-12587.10M Rp-5383.20M Rp-1098.50M Rp-9544.65M
FCFS Free Cash Flow Per Share
Rp38.59 Rp101.45 Rp89.38 Rp63.73 Rp29.61 Rp3.35 Rp3.23 Rp20.34 Rp11.03 Rp35.58 Rp43.83 Rp24.51 Rp-15.72 Rp-17.67 Rp-42.84 Rp-54.43 Rp-44.17 Rp-18.89 Rp-3.85 Rp-33.49