Rp1095.20
Rp-4.55 (-0.41%)
End-of-day quote: 05/17/2024
NSEI:TATACONSUM

Tata Consumer Products 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
Rp152.06B Rp137.83B Rp124.25B Rp116.02B Rp96.37B Rp72.52B Rp68.13B Rp67.71B Rp66.29B Rp79.93B Rp77.38B Rp73.51B Rp66.40B Rp60.03B Rp57.97B Rp48.48B Rp43.10B Rp40.37B Rp31.07B Rp30.41B
GM % Gross Margin %
43.68% 41.04% 42.21% 39.77% 43.12% 43.86% 44.90% 46.61% 44.57% 51.25% 48.56% 47.83% 46.14% 47.64% 49.91% 52.86% 56.00% 58.29% 55.99% 58.60%
OM Operating Margin
12.54% 11.22% 11.42% 11.06% 10.72% 9.24% 10.34% 9.78% 7.76% 7.93% 8.04% 9.09% 8.28% 8.68% 10.33% 11.16% 14.03% 14.91% 15.16% 18.50%
EPS Earnings Per Share
Rp0.00 Rp15.39 Rp11.73 Rp10.57 Rp9.55 Rp7.22 Rp6.81 Rp8.10 Rp6.11 Rp5.05 Rp5.10 Rp5.46 Rp6.37 Rp4.62 Rp3.75 Rp6.31 Rp4.78 Rp5.51 Rp5.21 Rp4.82 Rp3.67
Div. Dividends
Rp8.34 Rp8.45 Rp6.05 Rp4.05 Rp2.70 Rp2.50 Rp2.50 Rp2.35 Rp2.25 Rp2.25 Rp2.25 Rp2.15 Rp2.15 Rp2.00 Rp2.00 Rp1.75 Rp1.50 Rp1.50 Rp1.20 Rp1.00
PR % Payout Ratio %
54.19% 72.04% 57.24% 42.41% 37.40% 36.71% 30.86% 38.46% 44.55% 44.12% 41.21% 33.75% 46.54% 53.33% 31.70% 36.61% 27.22% 28.79% 24.90% 27.25%
Sha. Shares
950.13m 929.01m 921.55m 921.55m 921.55m 631.13m 631.13m 631.13m 631.13m 618.4m 618.4m 618.4m 618.4m 618.4m 618.4m 618.4m 618.4m 590.3m 562.2m 562.2m
OCF Operating Cash Flow
Rp19.37B Rp14.61B Rp15.16B Rp16.56B Rp10.82B Rp2.10B Rp3.56B Rp7.41B Rp1.16B Rp4.18B Rp4.22B Rp1.73B Rp2.79B Rp543.58M Rp1.40B Rp1.74B Rp5.15B Rp5.12B Rp4.21B Rp3.68B
FCF Free Cash Flow
Rp11.37B Rp11.50B Rp12.42B Rp14.46B Rp9.31B Rp-7241.00M Rp55.40M Rp6.03B Rp-547.20M Rp2.39B Rp4.59B Rp2.28B Rp2.28B Rp5.53B Rp496.44M Rp982.61M Rp4.37B Rp4.29B Rp3.37B Rp2.33B
FCFS Free Cash Flow Per Share
Rp17.16 Rp12.43 Rp13.48 Rp15.69 Rp10.01 Rp-1.15 Rp-0.05 Rp9.55 Rp-0.61 Rp3.78 Rp3.53 Rp-0.10 Rp2.40 Rp-0.76 Rp0.80 Rp1.59 Rp7.10 Rp7.50 Rp6.00 Rp4.15